Section
Bonds
1706 posts
On My Mind: Stop me if you think youâve heard this one before
A full three months since President Trumpâs âLiberation Dayâ tariff announcements sparked panic in financial markets, macro developments have been benign. The passage of the Big Beautiful Bill has brought clarity on the fiscal outlook, but uncertainty on trade negotiations remains. Franklin Templeton Fixed Income CIO Sonal Desai explains what this means for investors going forward.
July 10, 2025
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...
Global X Mid-Year Outlook: Strategies for a Shifting Market Landscape
Global X ETFs' Chris McHaney, Raghav Mehta, Brooke Thackray, Alex Smahtin, and Andrew Albrecht provide their perspectives in…
July 3, 2025
Prevailing Skepticism Means Rally Has More Room
by Professor Jeremy J. Siegel, Senior Economist to WisdomTree and Emeritus Professor of Finance at The Wharton School…
July 2, 2025
A Simpler Way to Lock in Yield: How BMOâs New Target Date ETFs Bring Back the Bond Experience
If you're a Canadian investor feeling whiplashed by interest rate swings or struggling to plan around unpredictable cash…
July 2, 2025
SLR: Could It End The Bond Bear Market
by Lance Roberts, RIA On June 25th, the Federal Reserve quietly announced a significant change to the Supplementary…
July 1, 2025
Can bond yields predict returns?
Nicholas Ware and Dillan Shah, fixed income portfolio managers, look at whether yields can offer predictive information about total returns from bonds.
June 29, 2025
Fed Keeps Rates Steady, Says Risks Still Elevated
The Fed held the federal funds rate steady but noted that the risks of inflation and potentially higher unemployment remained high.
June 25, 2025
A Simpler Way to Lock in Yield: How BMOâs New Bond ETFs Bring Back the Bond Experience
If you're a Canadian investor feeling whiplashed by interest rate swings or struggling to plan around unpredictable cash…
June 24, 2025
"Surreal" Market Signals and the Road Ahead: Gundlach's Mid-Year Macro Dissection
Jeffrey Gundlach, the ever-skeptical maestro of macro at DoubleLine Capital, titled his June 10, 2025 webcast1 "Surreal"âa fitting…
June 23, 2025
Why Itâs Time to Rethink PortfoliosâFrom the Bear Up, says Picton
When markets get messy, David Picton doesnât just feel itâhe wears it. âThe bags under your eyes grow,â…
June 20, 2025
Why Bond Folks Think in Reversals and Stock Investors Just Canât Quit the Rally
In the third part of his return expectations series1, AQRâs Principal and Global Co-Head of Portfolio Solutions Group,…
June 18, 2025
Rethinking Fixed Income: How Franklin Templeton Is Helping Advisors Navigate a New Era for Bonds
Letâs be clearâbonds just arenât what they used to be. With interest rates climbing, geopolitical uncertainty swirling, and…
June 17, 2025
âThe Times They Are A-Changinââ â Five Alarms That Signal Regime Change
You donât have to squint too hard these days to see the cracks in the old economic playbook.…
June 15, 2025
KISS 2025: The Big Picture Shifts Reshaping Your Portfolio Playbook
Louis-Vincent Gave breaks it downâsimply, sharply, and with implications you canât ignore. âWhen the facts change, I change…
June 9, 2025
The Exceptional Case of U.S. Markets Underperformance
With global headlines bouncing between trade tensions, inflation worries, and surprise economic data, itâs getting harder for investors…
June 7, 2025