High income and less sensitivity to credit spread moves underpin the resilience of European AAA CLO performance amid broader market volatility.
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Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
What Moody’s U.S. credit rating downgrade could mean for the Treasury market, the Fed, and fixed income investors.
Considering the potential implications of April’s inflation print for the bond market, the Fed, and fixed income investors.
Three reasons agency MBS look attractive right now.
For investors who are relatively new to securitized fixed income, recent market volatility may have provided the first opportunity to witness how securitized sectors might respond when equity markets pull back.
Here we look at navigating the regulatory frameworks around investing in the European securitised market.
Ranking the best-performing U.S. fixed income sectors of 2024.
Investors sitting in cash may be leaving yield on the table.
John Kerschner points out the biases that he believes may keep investors out of U.S. securitized assets
Exploring the likelihood that Fannie Mae and Freddie Mac will be privatized.
Why we believe MBS is poised for outperformance in the current environment.