In Credit Weekly Snapshot – June 2022

In Credit

Our fixed income team provide their weekly snapshot of market events.

In Credit Weekly Snapshot – May 2022

Digital diagram

Our fixed income team provide their weekly snapshot of market events.

In Credit Weekly Snapshot – April 2022

Digital diagram

Our fixed income team provide their weekly snapshot of market events.

In Credit Weekly Snapshot – March 2022

Digital diagram

Our fixed income team provide their weekly snapshot of market events.

Solutions Enhanced: Capital Market Assumptions 2022 Making a transition

A stack of coins against a background of charts and figures

The end of 2021 saw a continuing reminder of the impact of coronavirus, inflation occurring in major economies, and the world waking up to the stark choices presented by the climate emergency. We set out the expectations for what all this could mean for investors over the next five years and in the longer run. These capital market assumptions form the base case we use when constructing strategic asset allocations for clients.

Faire face à la volatilité en 2022 grâce à une gestion active

Eye of the needle

William Davies analyse les perturbations ressenties sur les marchés internationaux et pourquoi en tant que gérants actifs nous ne devons pas craindre la volatilité mais au contraire y voir une source d’opportunités.

In Credit Weekly Snapshot – February 2022

In Credit

Our fixed income team provide their weekly snapshot of market events.

In Credit Weekly Snapshot – January 2022

In Credit

Our fixed income team provide their weekly snapshot of market events.

Obligations : de la reprise à l’expansion

Pour 2022, nous tablons sur une transition du marché vers la traditionnelle phase expansionniste du cycle conjoncturel. Voici ce que cela implique pour les investisseurs obligataires.

In Credit Weekly Snapshot – December 2021

In Credit

Our fixed income team provide their weekly snapshot of market events.