Insights
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With Vice President Kamala Harris likely to be the Democratic nominee, the race for the White House has shifted and congressional Democratic prospects have improved.
Explore the opportunities we see in consumer-related lending, which offers quality and potentially a great runway for growth.
In the post-pandemic fiscal landscape, government debt trajectories may be volatile, but appear broadly sustainable.
ECB: Next Stop, September
While the European Central Bank kept policy rates unchanged, the next cut is likely to be delivered soon.
Explore key themes from our Secular Outlook, including fiscal policy, geopolitical risks, AI, and upcoming elections, and learn how these factors could shape the future of fixed income markets.
The Yield Advantage in Global Markets
Discover how starting yields in high-quality fixed income can set a solid foundation for multi-year returns and how active management works to boost these yields even further.
A second straight month of encouraging U.S. core CPI data supports an initial Federal Reserve rate cut as early as September.
Comparing public fixed income and private credit markets involves weighing factors related to liquidity, transparency, credit quality, risk premium, and opportunity costs.
How Can Your Cash Work Harder?
Investors hold cash for a variety of reasons, but having the bulk of cash in traditional instruments may not be the best option across all the reasons for holding cash. A liquidity tiering strategy can help investors gauge how much they may need in their portfolios based on their goals and objectives – and how much they should considering allocating to potentially higher-returning short duration strategies.