Fixed Income – Page 3

  • Prediction Markets Are Upending U.S. Gambling- What It Could Mean for Non-Investment Grade Credit
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    Prediction Markets Are Upending U.S. Gambling: What It Could Mean for Non-Investment Grade Credit

    2025-12-12T11:46:00Z By Neuberger Berman

    A 2024 court ruling allowed prediction markets to operate as federally regulated event contract exchanges. With nationwide reach, these products are pressuring state regulated sports books, lotteries and casinos—raising new considerations for non-investment grade issuers and investors.

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    Commercial real estate debt market update

    2025-12-10T17:26:00Z By Wellington Management

    Commercial real estate (CRE) has long been established as a cornerstone asset within a wide range of investors’ portfolios. From individuals owning a US$250K rental home to institutions owning a US$250M high-rise apartment complex, CRE can offer diversification, consistent cash flows, a hedge on inflation, and a historically low correlation to other risk assets.

  • The Fed delivers a rate cut with a caveat
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    The Fed delivers a rate cut with a caveat

    2025-12-10T11:32:00Z By Nuveen

    The Federal Reserve cut rates by 25 basis points but signaled a more cautious path ahead, projecting just one cut in 2025. The policy statement leaned hawkish with upgraded growth forecasts, while Chair Powell maintained a neutral tone. What does this mean for your portfolio? Discover where we see the biggest potential in today’s rate environment.

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    Reasons to Revisit EM Corporate Debt: A Short Duration Approach

    2025-12-10T10:37:00Z By Barings

    A short-duration allocation to emerging market (EM) corporate debt offers the potential for attractive carry, incremental yield and portfolio diversification—while reducing interest rate sensitivity and preserving flexibility to reposition as monetary conditions evolve.

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    Global Fixed Income: Themes to Watch in 2026

    2025-12-10T10:27:00Z By Barings

    Tight spreads meet elevated all‑in yields as policy uncertainty, AI capex, and uneven growth set the stage. We see selective opportunities across High Yield, CLOs, IG Credit, and EM Debt—with 2026 shaping up as a year for rigorous credit picking.

  • Japan bond yields on the rise
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    Japan bond yields on the rise

    2025-12-08T11:12:00Z By Amundi

    Yields on Japan’s two‑year bonds touched their highest levels since 2007, on market expectations of a rate hike later this month. While the short end (2‑year) is more sensitive to policy‑rate moves, yields on 10‑year and 30‑year bonds have also risen amid concerns about the government’s expansionary fiscal policy and high public‑debt levels.

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    Private credit: The Red Thread – Alternatives, Edition 2025/26

    2025-12-04T11:34:00Z By UBS Asset Management

    Despite the sensational headlines, the fundamental outlook for the corporate direct lending strategy remains stable. Company earnings have generally been positive, as the borrower universe has shown high single-digit EBITDA growth alongside stable, healthy margins. Furthermore, as we peel back the onion, the credit profile of the underlying borrowers has also remained strong.

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    Integrating Climate Risks & Opportunities into Systematic Active Fixed Income Strategies

    2025-12-03T15:25:00Z By State Street Investment Management

    For investors allocating to Systematic Active Fixed Income strategies, our recent paper shows how climate risks and opportunities can be integrated while seeking to maintain returns.

  • 2026 Outlook- Direct Lending
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    2026 Outlook: Direct Lending

    2025-11-24T15:44:00Z By Barings

    In this Q&A, Orla Walsh explores the themes, trends and risks shaping direct lending—underscoring the importance of separating signal from noise as the market navigates the year ahead.

  • Private credit’s evolution
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    Private credit’s evolution

    2025-11-24T15:11:00Z By Nuveen

    The private credit market has experienced remarkable growth, reaching $1.7 trillion in assets under management and 13% annual growth since the 2008 financial crisis. Rather than signalling a bubble, this expansion represents the evolution of a maturing asset class, offering institutional investors compelling opportunities for those who can navigate its increasing complexity.

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    How emerging market debt is adapting to a sea of change

    2025-11-24T10:46:00Z By M&G Investments

    Emerging market debt (EMD) has historically been viewed as a tactical allocation, but structural improvements in policy credibility, fiscal discipline, and market depth now position it as a core component of a diversified portfolio. We think EMD is attractive for investors looking for a stable allocation to an asset class that is supported by strong growth, increasing credibility, and diversification. 

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    MIM Q3 2025 Investment Grade Corporate Market Review and Outlook

    2025-11-21T16:57:00Z By MetLife Investment Management

    MetLife Investment Management’s investment grade corporate credit platform delivered strong results in Q3 2025, supported by resilient investor demand, renewed appetite for duration and the Federal Reserve’s pivot toward rate cuts. Quarterly issuance reached $397 billion — 23% above the four-year average — with September’s $214 billion total ...

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    Fixed income 2026 Outlook

    2025-11-21T10:52:00Z By Federated Hermes

    Learn the views of our fixed income CIO and key portfolio managers. Where now for the yield curve?

  • Outlook 2026- Core investment implications
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    Outlook 2026: Core investment implications

    2025-11-19T16:58:00Z By AXA Investment Managers

    While the global economy demonstrated remarkable resilience in 2025, the true impact of US tariffs – one of the year’s dominant stories - remains uncertain. However, the International Monetary Fund has raised its 2025 global growth forecast to 3.2% from the 3.0% it projected in July and has kept its 2026 estimate at 3.1%.

  • Market Outlook - Fixed income- Monetary policy should bolster markets
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    Market Outlook - Fixed income: Monetary policy should bolster markets

    2025-11-19T16:50:00Z By AXA Investment Managers

    Fixed income markets should benefit from continued central bank easing in 2026. We expect lower interest rates in the US as policymakers respond to weaker labour market trends, and lower rates in Europe because of further declines in inflation. 

  • Fixed Income Outlook- Why flexibility will be key for fixed income investors in 2026
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    Fixed Income Outlook: Why flexibility will be key for fixed income investors in 2026

    2025-11-19T16:46:00Z By AXA Investment Managers

    Despite no shortage of challenges and obstacles, returns across fixed income asset classes have been largely positive in 2025, with income levels a major contributing factor.

  • Why flexibility will be key for fixed income in 2026
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    Why flexibility will be key for fixed income in 2026

    2025-11-19T14:26:00Z By BNP Paribas Asset Management

    Despite no shortage of challenges and obstacles, returns across fixed income asset classes have been largely positive in 2025, with income levels a major contributing factor.

  • Fixed income in the new policy order
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    Fixed income in the new policy order

    2025-11-19T12:26:00Z By Amundi

    We see a  continuation of the diversification trend seen in 2026. Fixed income investors may be underestimating the risk stemming from US expansionary fiscal policy. We see opportunities in inflation break-evens, and yield curve steepening later in the year. Quality credit becomes a core allocation for fixed income investors, thanks to sound fundamentals and a better risk-return profile compared to Treasuries. European bonds remain a key call for 2026, with a focus on peripheral bonds and investment grade credit, particularly in financials.

  • Keep it turning
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    Keep it turning

    2025-11-19T12:23:00Z By Amundi

    A spirit of endurance has characterized the market rally of the past year and looks set to persist in 2026. So will some of the asset price paradoxes that are emerging as the global economy transitions to a new innovation-led regime and as geopolitics enters a phase of controlled disorder.

  • Ahead of the Curve- Economic convergence and what it could mean for bond investors
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    Ahead of the Curve: Economic convergence and what it could mean for bond investors

    2025-11-17T12:33:00Z By Capital Group

    This year has seen huge shifts in the macroeconomic and geopolitical landscape. Principles such as free trade, globalisation and central bank independence that have underpinned the global economy for decades are being challenged. Despite this, credit spreads are at all-time tight levels and equity markets at historic highs.