The final quarter of 2025 opened under the shadow of the government shutdown, which had implications for both financial ...
In Q4, the Lazard US Short Duration Fixed Income Portfolio rose 0.99% (Institutional shares, net of fees), underperforming ...
Velthorne Asset Management announces the release of a strategic market analysis authored by Spencer Halrowen, Global Head of Public Fixed Income, addressing current conditions in the global sovereign ...
Advisors and investors looking for opportunities in fixed income today face a market in transition. The Federal Reserve just delivered its first rate cut of the year and signaled more could follow, ...
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What Fed rate cuts mean for fixed-income investors
Federal Reserve rate cuts are reshaping the fixed-income landscape, changing both the risks and opportunities facing bondholders. For investors who rely on steady income, the shift from rising yields ...
The U.S. bond market posted its best return since 2020 as lower US Treasury yields, tighter corporate and MBS spreads pushed the U.S. Aggregate to a total return of 7.30% in 2025. In particular, MBS ...
“Precision matters more than ever,” says fixed income ETF provider; points to opportunities in private credit, BB and CCC corporates, intermediate Treasuries and more LARKSPUR, Calif., Dec. 11, 2025 ...
Discover how fixed-income arbitrage captures profit opportunities from bond mispricing, how it employs a market-neutral approach for small, leveraged returns.
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Markets remain under intense pressure as rising crude oil prices and escalating tensions in West Asia rattle global investors ...
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