In Credit Weekly Snapshot – May 2022

Our fixed income team provide their weekly snapshot of market events.
In Credit Weekly Snapshot – April 2022

Our fixed income team provide their weekly snapshot of market events.
Investment team updates – Market updates 1 April 2022

Latest news from around the investment desks.
In Credit Weekly Snapshot – March 2022

Our fixed income team provide their weekly snapshot of market events.
CIO outlook: market volatility, oil and interest rates

Russia’s invasion of Ukraine has put markets on edge. With a high level of uncertainty and rising commodity prices, will central banks change their plans on rate increases?
Credit Threads: Nowhere to hide

The first quarter of 2022 has seen fixed income markets experience an atypical correlation tantrum, with negative returns across regions and sectors. We speak to Gene Tannuzzo, Global Head of Fixed Income at Columbia Threadneedle Investments; Alasdair Ross, Head of European Fixed Income; and Brian Lavin, Head of High Yield, to find out why they are behaving this way.
Solutions Enhanced: Capital Market Assumptions 2022 Making a transition

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.
Investment team updates – Market updates 4 March 2022

Latest news from around the investment desks.
In Credit Weekly Snapshot – February 2022

Our fixed income team provide their weekly snapshot of market events.
Investors confront volatility as Russia invades Ukraine

Markets reacted strongly this week to news that Russia invaded neighbouring Ukraine. The world has been watching tensions in the region escalate since the beginning of year.