Claudia Wearmouth says the case for responsible investing remains intact despite a difficult year in 2022
For pension risk settlement, 2022 has been one of the most turbulent, busy and eventful years on record.
The next 12 months are poised to be a comeback year for fixed income, says CTI's Gene Tannuzzos
After a turbulent year, RLAM's Piers Hillier discusses whether 2023 will be a turning point for markets
The Aegon Global Short Dated Climate Transition Strategy directs investments to companies with robust, credible plans to transition towards a net-zero economy
The UK has seen high levels of mortality since the start of the Covid-19 pandemic in March 2020.
Liquidity in fixed income markets has become more challenged given the fall-out from liability-driven investment (LDI) selling. With recession and energy crisis worries, Janus Henderson Investors' Head of Loans, David Milward discusses whether loans can continue to show resilience through the market volatility.
As the philosophy lesson goes, if you fill a jar to the brim with golf balls, it is full, right?
An innovative framework for identifying climate-transition risks and managing climate change in fixed income portfolios