Latest fixed income thinking
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High yield: Has the risk of capital loss from defaults reduced?
7 Sep. 2022
Despite spread widening, defaults in the high yield market have yet to hit significant levels. Will structural changes in the market limit the damage from defaults in future crises?
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EM corporate debt: Resilience in turbulent times
23 Aug. 2022
Emerging markets have been hit by stern economic challenges in 2022. But many companies are proving resilient thanks to strong fundamentals, as our emerging market corporate debt team explain.
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Zero-COVID: China’s costly policy error
10 Aug. 2022
Beijing’s ideological battle to stamp out COVID-19 appears increasingly misguided as the rest of the world learns to live with the virus. But the impact of China’s approach will be felt far beyond its borders.
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What does the data say? Are we close to 1970’s-style stagflation?
29 Jul. 2022
In this month’s instalment of our visual series on topical themes, we look at whether the global economy is heading towards stagflation.
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Bumpy ride set to continue for credit investors
18 Jul. 2022
The co-managers of the Aviva Investors Strategic Bond strategy give their views on the outlook for credit markets following the worst first-half in at least 40 years.
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EMD: On the bread line
6 Jul. 2022
Russia’s war in Ukraine has contributed to soaring food prices, supercharging global inflation. Poorer countries will likely be hardest hit, adding to the risk of social unrest. With public finances and incomes already under strain, emerging-market debt investors should be on high alert.
Bond Voyage: A journey into fixed income
Each month, our freewheeling fixed-income newsletter gathers insights from our high-yield, investment-grade, emerging-market and global sovereign bond teams.
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