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.
Five reasons to consider fixed income now
Yields on benchmark UK government bonds have risen more than four-fold during 2022
In this Explainer video, Thomas Höhne-Sparborth says investors need to look at all types of emissions to gain a true picture
In this Explainer video, Thomas Höhne-Sparborth explains the best way to decarbonise an investment portfolio
ESG challenges are complicated and diverse for many asset classes, and fixed income is no exception
Sustainable investing has become mainstream, but it’s not a perfect science, with many challenges that practitioners must face.
2022 has been a turbulent year but in terms of monetary policy, it has also been a fascinating one
With real yields negative in many markets, where might you find the returns you need?
Increased fixed income market volatility is a trend that looks set to continue