report by BlackRock
Results for ""
Fixed Income Insights
Streaming Income - EM Debt: Navigating the Geopolitical Noise
This piece is approved to use with clients.
From the Middle East to China to Argentina, investors face no shortage of geopolitical risks and negative headlines. But is there still value to be found across emerging markets? Dr. Ricardo Adrogué weighs in.
Fixed Income Insights
IG CLOs: Strong Excess Return Potential, Lower Volatility
This piece is approved to use with clients.
IG CLOs can offer investors the benefits of spread pick-up and lower mark-to-market volatility, largely due to underlying collateral performance and structural security. But above all, manager selection is critical—even at the highest-rated tranches.
Fixed Income Insights
Are High Yield Investors Being Compensated for Risks?
This piece is approved to use with clients.
In the context of today’s fundamental backdrop and default outlook, spread levels suggest investors are being fairly compensated, relative to other points in the cycle, for the amount of risk they are taking.
Fixed Income Insights
Emerging Markets Sovereign Debt: Does Active Management Pay?
This piece is approved to use with clients.
The performance of Emerging Markets Sovereign Debt can—and does—vary widely from country to country. In this piece, Barings’ Cem Karacadag explores how an active approach can be key to selecting the most attractive opportunities, while also avoiding the bad apples.
Fixed Income Insights
Streaming Income - High Yield: Rates, Recessions and Relative Value
This piece is approved to use with clients.
While there is no shortage of risks to consider in today’s high yield markets—from ESG to the end of the credit cycle—Barings’ Martin Horne describes how taking a contrarian approach can help investors uncover pockets of value.
Behavioral Finance
How Long Can A Good Fund Look Bad?
This piece is approved to use with clients.
It’s only natural for someone invested in a poorly performing active equity mutual fund to wonder if it’s time to make a change. Should an investor sell a fund if it trails its benchmark for a year? Three years? Five years?
Market Outlooks
Weekly Macro Update: ECB Easing and Trade De-escalation Boost Markets
This piece is approved to use with clients.
The three things you need to know this week: More signs are pointing to U.S.-China trade war de-escalation, ECB launches new stimulus and the PBOC cuts required reserve ratios.
Alternative Investments
Streaming Income - European Real Estate: Late-Cycle Value from Manchester to Munich
This piece is approved to use with clients.
Can value still be found (or created) ten years into the European property market cycle? And if so, which sectors, geographies and risk profiles look most compelling? Barings’ Charles Weeks weighs in.
Market Outlooks
Weekly Macro Update: U.S. Consumer Holding Up; Global Manufacturing Still Weak
This piece is approved to use with clients.
The three things you need to know this week: Fed Beige Book cites U.S. consumption holding up well, bad Chinese debts continue to rise and a U.K Parliamentary shakeup amid Brexit.
Fixed Income Insights
Distressed Debt: Seeking Opportunity in Choppy Waters
This piece is approved to use with clients.
Stuart Mathieson, Head of Barings’ Global Special Situations group, and Bryan High, Co-Portfolio Manager of the strategy, discuss how the macro environment is impacting their outlook, and where they're seeing distressed debt opportunities today.
Market Outlooks
Weekly Macro Update: Manufacturing Sector Contracts
This piece is approved to use with clients.
The three things you need to know this week: U.S. budget deficit projections raised, the Italian Prime Minister resigns and leading indicators continue to show manufacturing.
Market Outlooks
Weekly Macro Update: Inversion Obsession
This piece is approved to use with clients.
The three things you need to know this week: Yield curve briefly inverts, some U.S. tariffs are delayed and ECB stimulus expectations rise amid fears of a sustained slowdown.