Finding opportunities beyond core fixed income

The low-yield environment may limit the return potential of traditional fixed income portfolios, while downside risks could be substantial should interest rates rise. However, there is a broad $6.5 trillion opportunity beyond core fixed income that may generate an attractive level of income and help manage interest rate risk and portfolio volatility.
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Week in review

Slight pullback | Subdued inflation | Fed funds futures lower | Chart of the week: Equities in a tight trading range
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Week in review

Relatively steady | Ongoing demand | Yield declines | Chart of the week: Yield curve flattens
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Week in review

Drifting higher | Stockpile decline | Slow and steady | Chart of the week: Refinancings spike in 2017’s issuer-friendly environment
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Week in review

Mild declines in corporate credit | On track for rate increases | April payrolls rebound | Chart of the week: Productivity continues to decline
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Week in review

Improved appetite | Potential shortage | Steady but subdued | Chart of the week: Credit markets back on track
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Week in review

Some uncertainty | LIBOR: Above the floor | French election momentum shift | Chart of the week: OPEC’s long game
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Week in review

March recap | Middle market premium | Weather or not | Chart of the week: Inflation reaching a plateau?
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Week in review

Slow and steady | Time to move? | The long run | Chart of the week: Long-term lows
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Week in review

Steady rise | Rally cap | Mixed messages | Chart of the week: resilient energy
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Week in review

Relative value | Retail sales | Slowing productivity | Chart of the week: Global crude oil rebalancing
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