Securitized sectors might play a key role for bond investors amid a higher interest rate environment.
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How bond investors can take advantage of higher short-term yields while still managing duration exposure.
Just how much do European secured loans have to offer higher income-seeking investors at this point in the cycle?
How Zillow’s failed house-flipping business demonstrates the value of active management in MBS investing.
The potential impact for fixed income investors of Fitch’s downgrade of the U.S. long-term credit rating.
Considering what could be in store for AAA CLO returns given a still-hawkish Fed.
Three habits bond investors can adopt as they seek better risk-adjusted returns.
How rail announcements offer insights into fixed income markets.
The impact of recent bank failures and tighter lending conditions on commercial real estate and CMBS.
Considering the risks recent bank failures pose to markets and how investors might position their portfolios accordingly.
Five key bond valuation metrics for financial professionals and portfolio managers.