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Fixed Income Insights
LIBOR Is Changing: Five Important Updates
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T. Rowe Price's working group provides an update to the plans to replace LIBOR with new alternative reference rates.
Investing Ideas
When Diversification Fails
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The coronavirus sell-off was a reminder that the benefits of diversification can disappear right when they are needed most.
Investing Ideas
The U.S. Dollar in 2020: Does the Buck Stop Here?
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The possibility of a weakening U.S. dollar could provide investors an opportunity to diversify their portfolios into other currencies.
Fixed Income Insights
Currency Hedging Can Boost Yields and Reduce Volatility
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U.S.-based bond investors who hedge the currencies of foreign bonds can obtain higher yields and mitigate portfolio volatility.
Behavioral Finance
How to Address Recency Bias with Clients
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Behavioral Finance – Actionable Insights for advisors to help investors battle biases, avoid chasing returns, buying yesterday’s winners, and extrapolating a string of short-term wins indefinitely into the future
Fixed Income Insights
The Dangers in High Yield Bonds & CLOs
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Worth the Risk? Investors in this space have always emphasized higher levels of income or growth rather than capital preservation. While these investments are often termed “speculative,” are investors truly aware of the amount of risk in these asset classes?
Fixed Income Insights
Chasing Yield
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The Dangers and Pitfalls of Fixed Income in a Low-Yield World
Fixed Income Insights
A Multi‑Sector Approach to Short‑Term Bonds
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The low duration management team uses a multi-sector approach as we try to capture a suitable amount of risk-adjusted yield.
Fixed Income Insights
Global Policy Rates Stuck in Lockdown
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What does the new fixed income environment look like as the global economy slowly starts to rebuild?