Peter Palfrey and Rick Raczkowski of the Loomis Sayles Core Plus Bond Team discuss the fund’s objectives and the strategy.
The Loomis Sayles Multisector Team presents its views on current macro conditions, including global interest rates and potential fixed income opportunities.
Senior Investment Strategist Esty Dwek shares insights on investor concerns for the year ahead, including volatility, interest rates, Brexit, and trade wars.
Bear markets can occur without a recession but both can effect portfolios. Veteran equity manager Chris Wallis talks 2019 market dynamics and the Fed’s altered toolkit.
Loomis Sayles Fixed Income Manager Matt Eagan, CFA® shares insights on navigating the current fixed income markets.
Our market strategists share insight into the state of retirement security today based on the results of the 2018 Global Retirement Index.
Insights for fixed income investors on how a flattening yield curve may still be an indicator of near-term economic activity.
Credit selection, market views, and value opportunities are discussed with a PM from Loomis Sayles’ Global Bond Team.
How Natixis Loomis Sayles Short Duration Income ETF may help in a shifting bond market is discussed on the NYSE floor.
An active management approach to seasonality factors in the municipal bond market may benefit portfolios.
Loomis Sayles examines how a flexible bank loans strategy may help lessen the impact of rising rates in fixed income portfolios.
Research suggests some fixed income allocations may need to be readjusted to align with a rising interest rate environment.
Active strategies’ ability to perform under pressure from rising rates and volatility is examined by three investment managers.
How the freedom and flexibility to roam across global fixed income markets can provide value in a rising rate environment.
In uncertain markets, active managers have an opportunity to react to pricing pressures related to fundamentals and valuations.
Christopher Harms discusses opportunity for active short duration income in today’s rising interest rate environment.
Discussing ways to mitigate the potential effects of rising interest rates on fixed income portfolios.