All Corporate Bonds articles – Page 20
-
White papers
From hero to zero and beyond: The investment implications of negative yields
Negative yields are seldom mentioned in economic and finance textbooks. But now that the central banks of Denmark, the eurozone, Sweden and Switzerland have set official rates below zero, investors are having to grapple with negative yields for short-dated, and indeed, some longer-maturity fixed income instruments.
-
White papers
Optimising your credit strategy in a low-yield world
Investment grade credit markets provided investors with strong performance in 2014, but with credit markets testing their highs, now is an opportune time for investors to reconsider how credit portfolios might be affected by diverging US and eurozone monetary policy.
-
White papers
The case for pension funds to consider buy and maintain
Why should pension funds consider a buy and maintain strategy and how are such strategies being used by pension funds?
-
White papers
Opportunities on financial debt amid today’s quest for yield and regulatory shifts
Why invest in subordinated financial debt today? We believe there are 3 main reasons that warrant exposure to this bond segment.
-
White papers
Edmond de Rothschild: Seizing opportunities on Europe’s convertible bond market
What is driving the European convertible market?
