Each month, our freewheeling fixed-income newsletter gathers insights from our high-yield, investment-grade, emerging-market and global sovereign bond teams.
Around the world in 30 days
This month, our fixed-income investment teams discuss US elections, IMF meetings, US versus European high yield, managing declining rates for cash, and what the future might hold in store for gilts.
I wanna be elected
In our October edition of Bond Voyage, our fixed-income teams reflect on US elections, US rates, France’s slide towards the periphery of EU issuers, and ESG considerations in Asia.
Our back-to-school reading list
This September in Bond Voyage, our emerging-market debt, high yield, investment-grade credit and global sovereign bonds teams share the lessons they learned from their summer reading.
Summer Special
In this summer edition of Bond Voyage, we discuss topical themes in liquidity, emerging-market debt, investment-grade credit and global sovereign bonds.
Euros special
In a special European Championships edition of Bond Voyage, we discuss topical themes in liquidity, emerging-market debt, investment-grade credit and global sovereign bonds (with a little help from Cristiano Ronaldo and Kylian Mbappé).
Trust the process
This month, we discuss fiscal discipline in emerging markets, investment-grade credit portfolio construction, potential opportunities for sovereign investors in Canada and the merits of a developed-market focus in global high yield.
Asking the right questions
This month, we discuss Spring meetings, the path for rates and sustainability-linked bonds.
End of an era
In the April edition of our monthly series, we explore the latest developments in fixed-income markets.
Frontier markets and the Fed
In the latest instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams explore the key talking points in fixed income.
Time to get active
In the latest instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams look ahead to the key themes that are likely to shape fixed-income markets in 2024.
New Year, New Resolutions
In this new year instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams share their fixed-income resolutions.
All I Want for Christmas (is Yield)
In this festive instalment of our monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams share their thoughts on key topics from across the fixed-income universe.
Black Eyed Peas and Treasuries
In the latest instalment of our new monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams share their thoughts on key topics from across the fixed-income universe.
Dictators and automakers
In the first of a new monthly series, our investment-grade, high-yield, emerging-market and global sovereign bond teams share their thoughts on key topics from across the fixed-income universe.
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Fixed income is an indispensable building block for meeting a variety of investment goals, including income, inflation protection, liability management and capital appreciation.
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Our team
Chris Higham
Senior Portfolio Manager
Thomas Chinery
Senior Portfolio Manager
Justine Vroman
Senior Portfolio Manager
Sunita Kara
Global Co-Head of High Yield
Steve Ryder
Senior Portfolio Manager
Liam Spillane
Head of Emerging Market Debt and Portfolio Manager, EM Local Currency
Aaron Grehan
Head of Hard Currency Emerging Market Debt
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Key risks
Investment risk
The value of an investment and any income from it can go down as well as up and can fluctuate in response to changes in currency and exchange rates. Investors may not get back the original amount invested.
Credit and interest rate risk
Bond values are affected by changes in interest rates and the bond issuer's creditworthiness. Bonds that offer the potential for a higher income typically have a greater risk of default.
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