There are 98 item(s) tagged with the keyword "Fixed Income".
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The rise in global bond yields is broadening from a repricing of central bank policy into a wider reassessment of inflation, fiscal risk and the supply of duration. While the near-term backdrop remains challenging, higher yields are improving prospective fixed income returns, reinforcing opportunities in quality credit and fixed maturity strategies.
Bond investors face a familiar trade-off: safety or income. But is there a middle ground?
Policy uncertainty dominates the fixed income outlook.
The repricing of fixed income markets, resilient corporate fundamentals and increasing differentiation across issuers are improving the case for selected areas of the market, particularly investment grade credit. Against a backdrop of ongoing macroeconomic uncertainty and heightened geopolitical tensions, Fidelity’s active Fixed Income ETF team examines why investors are increasingly turning to active, research-led credit selection through transparent, cost-efficient ETF solutions.
How the artificial intelligence equity story is now a bond story too.
Alex Veroude, Head of Fixed Income, looks at how the breadth of fixed income markets can help balance risks and opportunities and explains why he believes a sense of perspective can help cut through market noise.
Trending lower oil prices may be masking persistent inflation risks
This all-weather bond solution was built to balance three key investment characteristics.
What may inflation, rates and fiscal risk mean for UK gilt investors?
Displaying: 1 - 10 of 98