Section
Corporate Debt
137 posts
Fallen angels to the rescue? Ways to survive the next liquidity crisis
by Keith Brakebill, Russell Investments December offered credit investors a taste of what a real cyclical downturn might…
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...
False Signals, Real Opportunity
What Wall Street’s earnings results tell us about credit market opportunities. by Brad Tank, CIO, Fixed income, Neuberger…
2019 Fixed Income Survey: Is a change in market dynamics afoot?
by Adam Smears, Russell Investments Throughout the year we ask leading bond and currency managers to consider valuations,…
The Credit Markets Have Stalled
by Steven Vanelli, CFA, Knowledge Leaders Capital Credit markets often move before the equity markets, and this can…
Show me the data
by The Algonquin Team, Algonquin Capital “Only time will tell if it was time well-spent.” Jimmy Buffett With…
Mark Noble: How do we get the fixed income portfolio out of the red?
Our chat with Mark Noble, Senior Vice President, Horizons ETFs continues, as we discuss some of the ideas…
Mark Noble: What to do about fixed income's conundrum?
Mark Noble, Senior Vice President, Horizons ETFs joined us at the Canadian ETF Association Mindpath ETF 2018 Conference…
Niels Jensen: The Art of Defaulting
… the debt-financed overspending of the 1960s had continued into the early 1970s. The Fed had funded this…
Alfred Lee: Do Passive Strategies Still Make Sense for Fixed Income?
Alfred Lee, Portfolio Manager and Investment Strategist, BMO ETFs takes on the notion of whether it makes sense…
Reading the Signs: Investment-Grade Bonds Present Warning and Opportunity
by Gershon Distenfeld, Director, High Yield, AllianceBernstein US investment-grade corporate bonds look cheaper today than their lower-quality counterparts…
Sandy Liang: Maximizing Return in a Rising Rate Environment
Sandy Liang, portfolio manager, Purpose Investments, talks about the nature of his investment strategy given the rising…
Sandy Liang: What is the Credit Market Saying About the Business Cycle?
We recently caught up with Sandy Liang, President, Purpose Investments Partners, and Portfolio Manager of Purpose…
Revisiting Corporate Credit amidst Market Volatility
by Edward D. Perks, CFA, Executive Vice President, Franklin Templeton Investments In 2018, rising inflation, higher US interest…
Alfred Lee: Do Passive Strategies Still Make Sense for Fixed Income?
Alfred Lee, Portfolio Manager and Investment Strategist, BMO ETFs takes on the notion of whether it makes sense…
Is Foreign Demand for US Corporate Bonds at an Inflection Point?
by Pramila Agrawal, PhD, Relative Return Strategist, Loomis Sayles The US corporate bond market reached a record $8…