Insights into model portfolios and asset allocation decisions worldwide that seek to explain key drivers in performance differentials.
Exploring active fixed income and equity strategies for markets at a crossroads.
Market predictions alone are useless – what matters is the rationale behind the argument.
Chief Research Strategist and Portfolio Manager Kathryn Kaminski of AlphaSimplex, looks at trends seen in 2018 and how they compare to other historical periods.
Insights from our panel of investment experts on where investors might be best positioned to succeed in the new year.
Loomis Sayles Portfolio Manager Matt Eagan provides a 2019 outlook and his thoughts on where investors may find fixed income opportunities in the months ahead.
Two Loomis Sayles portfolio managers provide their thoughts on potential opportunities in the global fixed income sector in the year ahead.
Loomis Sayles Fixed Income Manager Matt Eagan, CFA® shares insights on navigating the current fixed income markets.
Diversifying away from traditional fixed income may be advantageous in a rising rate landscape, explains Loomis Sayles Strategic Alpha manager.
In a late-expansion market, a tactical, flexible approach may be key to finding steady portfolio income.
Credit selection, market views, and value opportunities are discussed with a PM from Loomis Sayles’ Global Bond Team.
Research suggests some fixed income allocations may need to be readjusted to align with a rising interest rate environment.
A discussion with John Bell and Cheryl Stober of Loomis, Sayles & Company
A covenant-lite loan will typically have many covenants, positive, negative and possibly incurrence, but will lack even a single maintenance financial covenant.
How the freedom and flexibility to roam across global fixed income markets can provide value in a rising rate environment.
Learn how bank loans may be a compelling addition to fixed income portfolios over the long term.