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.
In Credit Weekly Snapshot – March 2022

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

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

Our fixed income team provide their weekly snapshot of market events.
In Credit Weekly Snapshot – December 2021

Our fixed income team provide their weekly snapshot of market events.
European equities: Stock selection guided by razor-sharp research will be the holy grail

We look at 2022 will be a stop-start year across financial markets, with European political leadership adding to the mix. But, as ever, there will be opportunities for clever stock selection.
In Credit Weekly Snapshot – November 2021

Our fixed income team provide their weekly snapshot of market events.
Credit Threads #3: Central banks take centre stage

How should investors think about inflation and less accommodative monetary policy? Ed Al-Hussainy, Senior Rates & Currency Analyst, and Adrian Hilton, Head of Global Rates and Currency, discuss the US Federal Reserve and its intention to taper its asset purchases, and the inflation challenges facing central bankers globally.