The German asset manager’s global CIO also upgraded his outlook on US IG corporate bonds to outperform.
Tag: Fixed Income
PIMCO eyes bonds for equity‑like returns with less risk
High-quality fixed income assets continue to offer attractive return potential plus diversification benefits as a likely recession nears, according to PIMCO.
Barings sees stronger case for fixed income
Amid ongoing market volatility and uncertainty, Barings believes there are reasons to be more bullish about fixed income than some investors think.
Singapore’s central bank expands blockchain pilot
The Monetary Authority of Singapore will soon expand its industry pilot initiative to include three new asset classes.
Invesco: Barbell approach is the way forward
Invesco’s David Chao favours a barbell approach given the tumultuous economic outlook.
Fund selectors in Asia view volatility as top concern – Natixis IM
Fund selectors in Asia bucked the trend globally, where inflation and interest rates were viewed as bigger concerns.
M&G favours floating rate bonds
Floating rate fixed income instruments are likely to outperform their fixed rate peers as the UK asset manager expects tightening monetary policies to continue.
Invesco maintains overweight stance on bonds
US-headquartered asset manager also lays out constructive stance on China equities during fourth quarter outlook.
BNP Paribas AM: Investing in Asia IG a ‘no brainer’
BNP Paribas AM bullish on Asian investment grade debt.
Schroders supports 60/40 portfolio approach
As investors assess whether the conventional allocation split still make sense, Schroders believes bonds will still provide portfolio benefits even if equity-bond correlations remain positive.