Will use own 'best-in-class' analysis
Re-rated to 'selective default'
Will launch range of US strategies
Focusing on global high yield
Outflows of €449m this week
Refocusing on sterling
More than a year after the UK Brexit referendum, sterling corporate bond yields remain close to an all-time low, writes Mateusz Malek, head of bonds research at Killik & Co.
Esther Watt, portfolio manager on the RWC Convertible Bond team, answers key questions about the convertible bonds sector.
Joining as senior portfolio manager
Will have OCF of 0.25%
Slowdown only temporary
Combine features of debt and equities
We believe that there are two types of bond bear market, writes Andrew Clarke, fund manager - fixed income at Sarasin & Partners.
The 40-year bull market ended over a year ago
'Part of the Washington swamp'
Strategic Bond fund
Managed by Damien Buchet
Small outflows of €78m
Expect monetary tightening
With the global tide of the central bank stimulus injection soon to turn, only a few segments of the fixed income universe have enough spread cushion to absorb the shift to a post-QE era.
Despite Moody's downgrade
Available to UK and European institutional and intermediary clients