How much longer will gilt and treasury yields remain in lockstep?
The UK’s debt burden is high and it is not master of its own destiny, writes Cherry Reynard
The UK’s debt burden is high and it is not master of its own destiny, writes Cherry Reynard
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Seeks to offer investors protection from unexpected UK inflation
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Iain McLeod examines the key trends driving the world’s wealthiest investors’ portfolios
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St James’s Place portfolio strategies manager shares what led her to a career in the investment sector
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Should fixed income investors shun a ‘buy the market’ approach in favour of selective and targeted regional and credit selection?
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UK equity strategies suffered £14bn net outflows over the year
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Valuations across some parts of the credit market could look stretched
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While the much-touted ‘year of the bond’ never materialised in 2023, Yoram Lustig of T Rowe Price and Liontrust’s Phil Milburn explain why investors are sticking with fixed income
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Well below 4.4% consensus forecast
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Focused exclusively on short-dated bonds
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Shift will result in a decrease in corporate bonds and alternative assets
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A year after Liz Truss’s ill-fated mini-budget sent the bond market into a tailspin, experts give their view on the role gilts have to play in portfolios going forward
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