BondsWhy index-linked gilts have the edgeThe outlook for conventional gilt-edged stock remains underwhelming; not so the inflation-linked varietySave22 November 2023
BondsThe case for (and against) owning gilts Prices for UK government debt have stabilised but that does not mean they are set to riseSave6 April 2023
BondsBanks seek to weather cost-of-capital stormAT1 anger does not spell the end for the instrumentSave22 March 2023
FundsBe open to diversifying with bondsA balanced portfolio could work well if inflation moderates Save11 November 2022
BondsUK struggles to convince bond ´óÏóÊÓÆµ, but US recession risk underpricedQuestions remain about UK financial stability as global recession loomsSave12 October 2022
BondsBond market fears could be an opportunityHigh-quality US credit is beginning to entice yield-hungry ´óÏóÊÓÆµSave23 June 2022
BondsNew shadow banking and the hunt for yield13 years on from Lehman, collateralised loans are sought for incomeSave2 December 2021
BondsInvestors face a rates conundrumSome commentators are confident long-term interest rates will stay low but others still fear inflationSave5 August 2021
BondsCredit assessment for recovery companiesRetail ´óÏóÊÓÆµ should remain cautious as sentiment turns upSave29 June 2021
BondsWhat bond markets are telling us about inflation fearsThe sanguine reaction of the market suggests the Fed got its messaging rightSave22 June 2021