All Government Bonds articles – Page 24
-
White papers
Exploiting recovery opportunities in Southern Europe
THE PERIPHERAL EUROPE INVESTMENT CASE At Generali Investments Europe S.p.A. SGR we believe that peripheral Europe will lead the upturn of the European economies. Southern European markets are having so far a remarkable beginning of the year - especially true for the Italian and Portuguese indices.
-
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
The case for multi-sector credit
With current yields low, the prospects for total returns from core fixed income appear subdued in the near term, and investors are seeking ways to achieve greater returns from their bond allocations.
-
White papers
Edmond de Rothschild: Investing in bonds in today’s market environment
What will drive bond markets in 2014?
