H2O moves to stem outflows after liquidity issues
Subsidiary of French asset manager Natixis reduces non-rated private bond exposure and introduces swing pricing
Subsidiary of French asset manager Natixis reduces non-rated private bond exposure and introduces swing pricing
In this video, Barings’ Omotunde Lawal outlines how Argentine corporates retain solid fundamentals and low leverage
French group expects Chinese corporate debt defaults to rise following similar warning from Fitch
ESG-focused fund will invest in euro-denominated corporate debt with a pre-determined five-year yield
Capital levels are five times higher than before the financial crisis, according to Merian’s Lloyd Harris
In a global economic slowdown, US investors will keep their money at home, according to Myria’s Thierry Guerillot
BBB debt issuance has surged but as growth slows a flood of downgrades may have a knock-on effect on wider debt markets
Slowing growth and shift in central bank rates policy could have impact on hybrid securities market
Hybrid securities tend to perform well during periods of above-average market volatility, according to Franklin Templeton
Fund targets 7-8% annual return from triple-B rated corporate bond market
Investment grade corporate dominates sustainable bonds, but range of asset classes will grow, says consultancy
Emerging market debt has been attracting robust inflows but as monetary policy tightens and volatility rises can the asset class retain its appeal?