Amid the administration’s flurry of affordability-targeted policy initiatives, bond investment opportunities are emerging.
Fixed income is for stability. In 2025, interest rates on fixed deposits fell, while yields on government bonds increased.
The report examines conditions heading into 2025 and 2026 and argues that markets have adapted more successfully than many ...
The Nuveen Multi-Market Income Fund trades at a 9.21% discount to NAV as borrowing costs ease. Learn more about the fund.
As global financial markets continue to adjust to higher interest rates and persistent macroeconomic uncertainty, investor appetite for fixed-term products and fixed-rate bonds is rising sharply, ...
Fixed income is trying to find its footing these days. What seemed like a clear path in the latter part of last year—in the form of downward trajectories in both inflation and interest rates—has been ...
Principal Asset Management has flagged resilient fixed income markets as selective opportunities emerge amid easing policy ...
FTSE Russell’s Fixed Income Insight Report for January 2026 notes that performance in 2025 was supported by monetary easing and favorable financial conditions, and both Canada and the US avoided ...