Section
Credit Markets
589 posts
Chaos can create opportunities
by Talley Leger, Invesco Canada Heading into 2020, the global economy was showing signs of stabilizing and risk…
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...
Down, up, down, up, down: Looking through the chop
by Paul Eitelman, Russell Investments It’s another day of elevated financial market volatility, as investors are buffeted by…
Could US Municipals Suffer as Coronavirus Spreads?
by Daryl Clements, AllianceBernstein As the novel coronavirus pandemic wreaked havoc on the markets over the past month,…
PODCAST Preparing for a Recession: What’s Different from the Global Financial Crisis
by Edward D. Perks, CFA, Franklin Templeton Investments Listen to our latest “Talking Markets” podcast to hear from…
Answers to FAQs about the recent market disruption – Part 2
by Brian Levitt, Invesco Canada Global Market Strategist Brian Levitt provides additional perspective on the impact of the…
Assessing the globe’s three-pronged policy response to coronavirus
by Kristina Hooper & Brian Levitt, Invesco Canada The coronavirus pandemic is spreading in Europe, the U.K., Canada,…
The coronavirus impact on fixed income markets
by Rob Waldner, Invesco Canada Macro impact The spread of the coronavirus globally has continued unabated in recent…
On My Mind: The Fed Speaks Loudly and Carries A Big Stick
by Sonal Desai, Ph.D., Chief Investment Officer, Franklin Templeton Fixed Income The US Federal Reserve (Fed) just announced…
Answers to FAQs about the recent market disruption
by Brian Levitt, Invesco Canada Global Market Strategist Brian Levitt provides perspective on the impact of the coronavirus…
Special Report: Panic Sets In As “Everything Must Go”
by Lance Roberts, RIA Headlines from the past four-days: Dow sinks 2,000 points in worst day since 2008,…
US High Yield Faces Double Whammy
by Glenn Voyles, Franklin Templeton Investments Markets across the globe have been dealt a one-two punch—the spread of…
Could the surge in market volatility signal the end of the current market cycle?
by Kristina Hooper, Invesco Canada Last Friday, Russia surprised markets by refusing to the production cuts the rest…
Guy Haselmann: Coronavirus – The Catalyst for System Failure?
by Guy Haselmann, Capital Markets Strategist Today’s global economic system is more intertwined than at any point in…
Coronavirus: Markets on the seesaw
by Erik Ristuben, Russell Investments This week, the market has seesawed between optimism and pessimism. Expect that to continue.…
Oh My! What’s This Stuff Really Worth?
by Chris Brightman, Jonathan Treussard, Amie Ko, Research Affiliates Key Points Indicators across four channels—the macroeconomy, credit conditions,…