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From Asset Allocation / Fixed Income June 22, 2015

Domestic demand drives Eastern Europe’s recovery

Growth in the CEE region is being driven by a combination of domestic demand and investments from external sources, increasing its resilience, although worries remain about Turkey and Russia in particular

Dominick Dealto, Fischer, Francis, Trees & Watts
From Asset Allocation / Fixed Income May 6, 2015

Bonds await fallout from QE and Greek crisis

Opinions are divided over just what the ECB’s bond-buying programme will mean for European fixed income markets while the stalemate created by the new Greek government over its outstanding debts has yet to be resolved

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From Asset Allocation / Fixed Income April 30, 2015

Opportunity knocks in fixed income markets

Patrick Barbe, chief investment officer, Core Fixed Income at BNP Paribas Investment Partners talks to Yuri Bender about the current bond investing climate for wealth managers and what the future might hold

Christian Gattiker, Julius Baer
From Asset Allocation / Fixed Income March 4, 2015

Emerging market debt adds spice to portfolios

Many wealth managers believe emerging market debt can help in the search for yield

Leo Grohowski, BNY Mellon Wealth Management
From Asset Allocation / Fixed Income January 28, 2015

Holding on to income in a world of low yields

Investors can no longer rely on high quality bonds for income, and wealth managers need to persuade their clients to take on more risk in fixed income, while also embracing equities, if they are to be successful in the hunt for yield

Darren Hughes, Invesco
From Asset Allocation / Fixed Income November 10, 2014

Credit markets reflect economic divergence

High yield bond investors are worried about the future actions of the Fed, but would the predicted interest rate hikes necessarily be bad news for the sector?

Fredrik Nerbrand, HSBC
From Asset Allocation / Fixed Income September 16, 2014

Should investors be overweight bonds or equities?

HSBC’s Fredrick Nerbrand and Mike O’Sullivan of Credit Suisse discuss whether investors should be increasing allocations to bonds or equities

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From Asset Allocation / Fixed Income September 2, 2014

Demystifying the convertible bond market

Skander Chabbi, head of the convertibles team at BNP Paribas Investment Partners, talks to Yuri Bender about the investment prospects for convertible bonds, their role in portfolios and the most attractive structures available to investors

Amanda La Marca, HSBC
From Asset Allocation / Fixed Income September 1, 2014

Fragmented landscape creates opportunities in emerging market bonds

Emerging markets are facing a tough economic environment but some countries are performing better than others, creating opportunities for investors

Nicolas Campiche, Pictet
From Asset Allocation / Fixed Income June 4, 2014

Rebooting the risk curve

With interest rate rises on the horizon, bonds are unlikely to retain their traditional role of protecting capital in portfolios – meaning investors must take on greater risk both within fixed income and by raising allocations to other asset classes

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