Insight plans to change the investment objective and policy of its UK Corporate Bond fund, with the vehicle set to utilise the full Ucits III powers to gain wider appeal in the market.
Corporate bonds have staged a remarkable recovery since the end of the first quarter this year.
It is enough to give you vertigo. Corporate bonds have had a wonderful six months.
TwentyFour's Mark Holman analyses opportunities in the European RMBS sector, citing rare yield opportunities following a strong market rally
Thames River Capital has raised more than $200m for its Credit Select and Global Credit funds, both launched one month ago.
Neptune has soft launched a new Corporate Bond fund, the boutique's second bond product.
Despite the rally in risk assets over the past six months and talk of an economic recovery, some of the biggest macroeconomic questions remain unanswered.
Architas manager Caspar Rock explains the key considerations of strategic bond investing
Assets are still attractively valued while earnings are keeping pace with prices and interest rates remain historically low.
Mark Holman believes mortgage-backed securities still provide opportunities to pick up good income yields