The impact of recent bank failures and tighter lending conditions on commercial real estate and CMBS.
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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.
A discussion on the key drivers of global dividend growth in 2022 and why further dividend growth is possible this year.
How bond investors can take advantage of higher short-term yields while still managing duration exposure.
A review of global equity markets in 2022 and the outlook for dividends in the year ahead.
With its December statement, the Federal Reserve reminded markets that much work remains in returning inflation back toward its 2.0% target.
The latest edition of the Janus Henderson Global Dividend Index shows that global dividends reached a third-quarter record of $416 billion.
Why collateralized loan obligations (CLOs) might be well aligned with a hawkish Fed.
A look at high-yield bonds and why some investors might consider a strategic allocation to high yield.
A look at credit ratings on securitized assets and whether investors can rely on them when constructing fixed income portfolios.