Section
Credit
297 posts
Corporate Bond Market: Is a āZombieā Apocalypse Coming?
by Collin Martin, CFA, Fixed Income Strategist, Schwab Center for Financial Research Whatās a āzombie companyā? You may…
March 2, 2021
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...
Neuberger Berman: Early-Cycle Conditions Still Support Credit
by Brad Tank, Chief Investment OfficerāFixed Income, Neuberger Berman Why the run-up in rates has troubled equity markets…
March 1, 2021
Jeremy Grantham: Waiting for the Last Dance
The Hazards of Asset Allocation in a Late-stage Major Bubble by Jeremy Grantham, GMO Executive Summary The long,…
February 25, 2021
On My Mind ā Inflation: The Devil We Knew
by Sonal Desai, Ph.D., Chief Investment Officer, Franklin Templeton Fixed Income Franklin Templeton Investments Inflation concerns have entered…
February 25, 2021
Technically Speaking: Blowing Up The āEverything Bubbleā
by Lance Roberts, RIA Recently, I discussed the āTwo Pins That Pop The Bubble,ā specifically noting the risk…
February 24, 2021
The Green Transition: Implications of the European Recovery Plan
by Darren Williams, AllianceBernstein Despite questions over financing the European Unionās (EUās) new Green Deal, the green transition…
February 11, 2021
The Future of Bond Tradingāand Why It Matters
by James Switzer, Global Head of Fixed Income Trading and Head of Municipal Bonds, Sasan Doroudian, Trader, Credit…
February 8, 2021
Will High-Dividend Payers Make a Comeback in 2021?
by Karen Watkin, AllianceBernstein
Having strongly underperformed the wider stock market in 2020, high-dividend stocks have shown…
February 7, 2021
Why Rising Bond Yields Arenāt Always Bad for Stocks
by David Stonehouse, MBA, CFAĀ®, AGF Management Ltd. Insights and Market Perspectives Author:Ā David Stonehouse February 2, 2021 Print…
February 2, 2021
Tactical asset allocation ā January 2021 recap
by Alessio De Longis, Invesco Canada Global recovery begins to mature, leading to expansion Macro update The year…
January 26, 2021
Should Bondholders Keep Faith in Europeās Banks?
by Steve Hussey, HeadāFinancial Institutions Credit Research, AllianceBernstein For European banksā stockholders, 2020 was a year to forget.…
January 21, 2021
European Fixed Income in 2021: Focused on Recovery, and Politics
by David Zahn, CFA, FRM, Franklin Templeton Investments Author David Zahn, CFA, FRM Head of European Fixed Income,…
January 20, 2021
Hubert Marleau: Pondering a Bifurcated Economy
by Hubert Marleau, Market Economist, Palos Management The stock market was remarkably indifferent to Powellās assurance that the…
January 17, 2021
Tactical asset allocation ā December 2020 recap
by Alessio De Longis, Senior Portfolio Manager, Invesco Investment Solutions, Invesco Canada Global recovery is likely to continue,…
January 14, 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