A sharp rise in the value of subordinated bank debt means the likes of contingent convertible securities (CoCos) face a sharp mean reversion in future, according to Kames Capital's Iain Buckle.
L&G Investment Management has expanded its emerging market fixed income team with the appointment of a portfolio manager and an analyst.
Kevin Corrigan, head of fundamental fixed income at Lombard Odier Investment Managers, says the conventional approach to bond investment can act against the interests of investors. Is it time for a new approach?
Changes in real interest rates have taken investors into uncharted waters in recent years. Janus' Bill Gross asks where they will go from here.
Chris Higham, bond fund manager at Aviva Investors, has argued the market is overly focused on interest rate movements, and investors should look more closely at other policy decisions.
TwentyFour Asset Management is moving to stem flows in to its Dynamic Bond fund as assets approach £750m, Investment Week can reveal.
Swiss firm Vontobel is to acquire a majority stake in TwentyFour Asset Management, a deal which will eventually see it take full ownership of the firm.
Former Threadneedle manager John Peta has joined Old Mutual Global Investors to head its emerging market debt team.