Veteran team of Elaine Stokes, Matt Eagan, and Brian Kennedy discuss succession plans as Dan Fuss steps away from portfolio management. They also share views on 2021 global fixed income markets.
A new market optimism has followed Covid-19 vaccine news, but uncovering risks and opportunities in the new year may require some old fashioned diligence.
A look the state of credit markets and how the post-pandemic recovery may effect opportunities and risks for fixed income investors.
Loomis Sayles fixed income managers explain how they look to capitalize on persistent inefficiencies and drive excess return potential in corporate credit.
Loomis Sayles’Asia Credit Strategies experts provide insights on the Asia High Yield markets environment.
Navigating bond markets in not easy. With Loomis Sayles, investors gain access to renowned research and portfolio management capabilities.
The winning ‘quants’ will not just leverage Artificial Intelligence but employ innovative techniques that no other human nor machine is doing.
Introduction to bond investing, fixed income funds, and how changing interest rates affect prices and yields.
Green bonds are a direct way to include ESG, reduce a portfolio’s carbon footprint, and access opportunities in a growing market, says a Mirova manager.
How green bonds can contribute to sustainability initiatives while delivering returns for long-term investors is analyzed by Loomis, Sayles & Company research.
Coronavirus cases are falling in China, but rising elsewhere – creating elevated volatility risk.
Mirova’s Fixed Income Team examines the strengths and shortcomings of the principles that serve as an industry standard for structuring green bonds.
Perspectives on investing for a low carbon world and delivering competitive returns from a Mirova sustainable investments research analyst.
The 2019 Natixis Global Survey of Individual Investors reveals that investors are conflicted about risk, returns and what they can expect from their investments.