Investors should stay guarded for exogenous shocks that could pull the next recession forward and cause markets to reprice credit risk. High-Yield and Bank Loan Outlook Report Third ...Read more Comments Off on Late-Cycle Boost and Boom
by Glenn Voyles, Marc Kremer, Matt Fey, Brian French, and Reema Agarwal, Franklin Templeton Fixed Income Group Some investment-grade bonds are riskier than their ratings imply, while high-yield ...Read more Comments Off on Moving Up in Credit Quality for Better Durability
by Gershon Distenfeld, Director, High Yield, AllianceBernstein US investment-grade corporate bonds look cheaper today than their lower-quality counterparts in the high-yield market. Is this the buying opportunity of ...Read more Comments Off on Reading the Signs: Investment-Grade Bonds Present Warning and Opportunity
Our conversation with Sandy Liang, PM, Purpose Investments, on investing in corporate debt continues. A big part of understanding how investing in corporate debt works, is understanding ...Read more Comments Off on Sandy Liang: What are some of your credit market investments?
Sandy Liang, portfolio manager, Purpose Investments, talks about the nature of his investment strategy given the rising interest rate environment, and provides shares insight on what he's ...Read more Comments Off on Sandy Liang: Maximizing Return in a Rising Rate Environment
We recently caught up with Sandy Liang, President, Purpose Investments Partners, and Portfolio Manager of Purpose Investments' Credit and Fixed Income Funds and ETFs about the ...Read more Comments Off on Sandy Liang: What is the Credit Market Saying About the Business Cycle?
by Edward D. Perks, CFA, Executive Vice President, Franklin Templeton Investments In 2018, rising inflation, higher US interest rates and escalating trade tensions have led to concerns about ...Read more Comments Off on Revisiting Corporate Credit amidst Market Volatility
Recorded May 28, 2018 - Our in-depth conversation with David Rosenberg, Chief Economist, at Gluskin Sheff on Canada, the U.S., and the Global Economy, and what to do ...Read more Comments Off on David Rosenberg: In depth on Canada, U.S., and Global Economy and Markets
by Pramila Agrawal, PhD, Relative Return Strategist, Loomis Sayles The US corporate bond market reached a record $8 trillion at the end of 2017. The high followed a ...Read more Comments Off on Is Foreign Demand for US Corporate Bonds at an Inflection Point?
Marc-André Gaudreau, Vice President and Portfolio Manager, 1832 Investment Management L.P. discusses fixed income strategies advisors can use in the current environment, characterized by Central Banks increasing overnight rates to either slowdown an overheating economy or to fight inflation. ...Read more 0
We recently caught up with Sandy Liang, President, Purpose Investments Partners, and high-yield fixed income portfolio manager. Sandy's exemplary career on both the buy-side and sell-side in equities, ...Read more Comments Off on Sandy Liang: High Yield Opportunities in a Rising Rate Market