The global economy appears to be entering a period of greater stability and low volatility but risks remain for fixed-income investors
Fund managers are paying attention to more liquidity indicators when making investment decisions
Regulatory pressures and political uncertainty triggered by the Brexit vote and the election of Donald Trump are creating challenges for investors in global debt markets
Are the ultra-low government-bond yields across the euro-zone a once-in-a-lifetime opportunity for European and US companies to issue debt?
PureGroup analyses the sensitivity of the five largest global investment grade credit funds to changes in macroeconomic factors
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