Green, social, sustainable and sustainability-linked (GSSS) bond issuance is expected to hit $1.7trn in 2022, with continued growth likely as the net zero transition gathers pace, says Standard Chartered.
Category: Fixed Income
T Rowe Price names fixed income portfolio specialist
The appointment adds to the firm’s Asia fixed income capability.
Fidelity hones asset selection amid stagflation fear
Near-term uncertainty over global growth coupled with risks of stagflation should steer investors away from credit and equities broadly, but into some pockets of opportunity, says Fidelity International.
Inverted yield curve muddies recession outlook
But equity investors should not be running for cover yet, according to optimistic asset managers.
JPMAM adds risk to fixed income strategy
This year’s bond market fall offers attractive entry levels for the firm’s income fund.
Barings maps out fixed income response to rising rates
Floating rate assets and short-duration strategies offer the potential to mitigate the risk of rising rates and inflation, according to Barings.
Janus Henderson: Short-dated bonds offer best protection
Higher inflation and expectations of rising interest rates have now been largely priced in by bond markets, it says.
Pimco urges liquid portfolios
In a global economy clouded by uncertainty and rising recessionary risk, portfolio flexibility can enable investors to be prepared as well as nimble, says Pimco.
Q&A with Pimco
FSA spoke with Pimco at the Fund Selector Asia Investment Forum Thailand.
Three major trends for green bonds in 2022
Better data disclosure and standardisation in ESG investing will boost fixed income product offerings, said Eastspring Investments.