We continue to expect volatility in financial markets to rise substantially at some point.
Emerging market (EM) local currency debt looks set to extend gains in early 2020, as contained trade war fears and ample liquidity sustain investors' hunt for yield.
Senior fund managers and economists discuss biggest headwinds and tailwinds
But growth and sentiment set to improve
After a volatile Q4 2018 when credit spreads widened but government bonds rallied due to safe-haven flows, fixed income markets across different categories have delivered strong returns so far this year.
Our latest podcast out now
Which products should investors go for?
Improving portfolio credit quality behind fund's plans