Our fixed income team provide their weekly snapshot of market events.
In Europe, a June cut is likely – but what about the UK and US?.
The sector has gone from being one of the riskiest in Europe to among the safest – an excellent example of the situations we look for, and that our deep research and bottom-up approach allows us to benefit from.
Higher default rate in European High Yield driven by a growing trend of aggressive liability management activity among over-levered issuers, increasing the risk of balance sheet restructuring events.
Nachdem die Beschäftigungszahlen in den USA am Freitag schwach ausfielen, rücken Zinssenkungen wieder ins Sichtfeld.
Our quarterly snapshot of current real estate market trends.
The need to decarbonise is driving innovation in the steel sector, which in turn is reshaping the global value chain for one of its key inputs – iron ore.
2013’s disaster served as a wake-up call to the garment industry. How have factory conditions changed and how are we tackling related risks through engagement?
After a strong start to the earnings season, a big week lies ahead.
Targeted Environmental, Social and Governance (ESG) engagement with issuers is an important part of our investment approach as active investors and responsible stewards of our clients’ assets.