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Credit
294 posts
Maximize Returns and Minimize Losses in a Recession
by Jason Ayres, Option Matters Canadian investors continue to watch both domestic and global economic data closely as…
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...
A Fed rate cut looks unlikely this year. Here's why.
by Paul Eitelman, Russell Investments Is the market-implied probability of a U.S. Federal Reserve (the Fed) rate cut…
Our take on high yield bonds
by Scott Thiel, Blackrock We see high yield bonds as a key source of income in bond portfolios,…
Why volatility could be worse
by Russ Koesterich, CFA, Blackrock Russ discusses why volatility has not been more severe, even though growth has…
Investors in Europe beware problematic politics
by Elga Bartsch, PhD, Blackrock Elga explains why politics pose the biggest risk to our base case that…
Where Next? Our Post-Recovery Outlook for Emerging-Market Debt
by Shamaila Khan, Fixed Income, AllianceBernstein Emerging-market (EM) bonds got off to a strong start after a difficult…
The Three Risks Bond Investors Should Be Watching
by Douglas J. Peebles, Fixed Income, AllianceBernstein Risk assets have bounced back this year after a dreadful finish…
Market Ethos: KYP - Know Your Portfolio
by Craig Basinger, Chris Kerlow, Derek Benedet, Alexander Tjiang, RichardsonGMP Anyone involved in the business of providing or…
Looking to De-Risk? High Yield Can Help
by Gershon Distenfeld, Director, High Yield, Fixed Income, AllianceBernstein The S&P 500 Index hit an all-time high on…