fi
FI
Finland
en-FI
fi_intm_classes
intm
Intermediary
en
en
Sunshine at Bank of England

Insights

In Credit Weekly Snapshot – October 2024

What goes up, must come down

Key markets overview

PDF

In Credit Weekly Snapshot – 29 October 2024

Dog days are over

Key markets overview

PDF

In Credit Weekly Snapshot – 21 October 2024

Dollar days

Key markets overview

PDF

In Credit Weekly Snapshot – 14 October 2024

Surging job growth plunging bond prices

Key markets overview

PDF

In Credit Weekly Snapshot – 7 October 2024

Key topics

Subscribe to insights

Get the most out of your email by tailoring the types of insights and information you would like to receive from us.

Latest articles

A peace deal between the US and Iran should see the Strait of Hormuz reopen, which triggered a sharp selloff in the oil price and a rally in bond markets. Read on for a breakdown of fixed income news across sectors and regions.
The macroeconomic backdrop has weakened, but there is a solid base for recovery – a recovery that has been put back rather than put off.
Reports of a potential US-Iran agreement mark a material shift in the Middle East risk backdrop.
Share article
Key topics
Related topics

Important Information

The research and analysis included on this website has been produced by Columbia Threadneedle Investments for its own investment management activities, may have been acted upon prior to publication and is made available here incidentally. Any opinions expressed are made as at the date of publication but are subject to change without notice and should not be seen as investment advice. Information obtained from external sources is believed to be reliable but its accuracy or completeness cannot be guaranteed.

Related Insights

16 June 2026

In Credit Weekly Snapshot – The only way is up

A peace deal between the US and Iran should see the Strait of Hormuz reopen, which triggered a sharp selloff in the oil price and a rally in bond markets. Read on for a breakdown of fixed income news across sectors and regions.
11 June 2026

Gene Tannuzzo

Global Head of Fixed income

Ed Al-Hussainy

Portfolio Manager

Midyear Fixed-Income Outlook: Tighter spreads, wider opportunities

Policy and macroeconomic uncertainty strengthen the case for selective, high-quality fixed income. We examine opportunities across the curve.
9 June 2026

In Credit Weekly Snapshot – Movin’ on up

US economic data keeps surprising to the upside, while a lack of progress on Middle East peace, and mounting speculation about a Federal Reserve rate rise, has put markets on shakier ground.
16 June 2026

In Credit Weekly Snapshot – The only way is up

A peace deal between the US and Iran should see the Strait of Hormuz reopen, which triggered a sharp selloff in the oil price and a rally in bond markets. Read on for a breakdown of fixed income news across sectors and regions.
15 June 2026

Joanna Tano

Head of Research, European Real Estate

Alex Dunn

Research Analyst, European Real Estate

European Real Estate 2026: Half-year health check

The macroeconomic backdrop has weakened, but there is a solid base for recovery – a recovery that has been put back rather than put off.
15 June 2026

Anthony Willis

Senior Economist, Multi-Asset Solutions team

Market Perspectives: The ceasefire and its consequences

Reports of a potential US-Iran agreement mark a material shift in the Middle East risk backdrop.

Important Information

The research and analysis included on this website has been produced by Columbia Threadneedle Investments for its own investment management activities, may have been acted upon prior to publication and is made available here incidentally. Any opinions expressed are made as at the date of publication but are subject to change without notice and should not be seen as investment advice. Information obtained from external sources is believed to be reliable but its accuracy or completeness cannot be guaranteed.

Icon checked

Thank you. You can now visit your preference centre​ to choose which insights you would like to receive by email.