The reality for fixed income is complicated
Vanguard’s corporate bond experts share their strategies for active credit investors in an economic slowdown.
The key themes in global bond markets over the past month.
US budget deficit may mean yields stay higher for longer
Emerging from last year battered and bruised by bonds as inflation ripped through the global economy, many investors are understandably asking whether they should continue to own them. Can bonds still fulfil their roles as diversifiers and yield generators in multi-asset portfolios?
Drawdowns in global fixed income markets should not distract investors from the crucial role that bonds can play as a volatility dampener in their portfolios, says Viktor Nossek
Investment performance weakens
Responsible investment holds up
Derek Stuart and Reiko Mito