Section
Bond ETFs
71 posts
Bonds haven’t been this attractive since 2008
by Larry Adam, Chief Investment Strategist, Raymond James Key Takeaways Easing price pressures will drive yields lower The…
March 5, 2023
Navigating Volatility: The Case for Tactical Alpha
In today's volatile markets, alternative investments are key for diversification, resilience, and returns, but they demand expertise to navigate. Ash Lawrence, Head of AGF Capital Partners and Scott Radke, CEO and Co-CIO of New Holland Capital discuss...
5 reasons to invest in high yield
by Shannon Ward, Fixed Income Portfolio Manager, Peter Becker, Investment Director and Flavio Carpenzano, Investment Director, Capital Group…
October 13, 2022
How Much Can You Lose with Bonds?
by Nicolas Rabener, Finominal A lot. SUMMARY Bonds are typically considered safe investments However, there were decades of…
October 6, 2022
Bond outlook: What to know as U.S. Fed fears hit markets
by Ritchie Tuazon, Fixed Income Portfolio Manager, Tara L. Torrens, Fixed Income Portfolio Manager, Capital Group The path…
June 29, 2022
Income investing outlook: See a little light
by Adam Kramer, Portfolio Manager, Fidelity Investments A flexible multi-asset strategy finds opportunity in a time of bad…
April 18, 2022
Why stocks need a calmer bond market
by Russ Koesterich, CFA, JD Portfolio Manager, Blackrock Russ discusses the recent volatility and how to hedge the…
December 28, 2021
Rebalancing the Lopsided 60/40 Portfolio
It’s time to rebalance the lopsided 60/40 portfolio with alternative sources of diversification and return. 01 - The…
December 27, 2021
Put time on your side
by Daniel Prince, CFA, U.S. Head of iShares Core ETFs , Blackrock Time spent in the market is…
November 19, 2021
Breaking Bonds
by Jeff Rosenberg, Sr. Portfolio Manager, Systematic Fixed Income, Blackrock The bonds that held market expectations and central…
November 14, 2021
One hot economy, two burning questions on value and income
by Tony DeSpirito, BlackRock Fundamental Active Equity Investment Team, and Michael Fredericks, Head of Income Investing for BlackRock…
May 14, 2021
The Great Canadian Reflation Trade
by Mike Archibald, CFA®, CMT, CAIA, AGF Management Ltd. Some Canadians are guilty of (and, of course, truly…
March 5, 2021
Why Longer-Term Treasury Yields Are Rising
by Kathy Jones, Senior Vice President, Head of Fixed Income Strategies, Schwab Center for Financial Research The new…
January 19, 2021
Barry Allan: What Do investors Misunderstand About Credit Markets?
Misperceiving risk is biggest misunderstanding investors have about investing in credit," says Barry Allan, CEO, CIO of DMAT…
January 13, 2021
Barry Allan: What Sets You Apart as a Fixed Income Asset Manager?
Barry Allan started DMAT Capital Management in 2019 shortly after his departure from Marret Asset Management, so that…
January 8, 2021
Barry Allan: What's your Fixed Income Strategy Post-2020?
After his departure from Marret Asset Management in 2019, Barry Allan launched DMAT Capital Management with a thought…
January 6, 2021