25 Jul 2024 TwentyFour Blog Strong UK savings bode well for bonds Excess savings have been at the centre of heated debates among economists and market participants ever since the pandemic. Read more
18 Jul 2024 TwentyFour Blog Thames Water: Government must deploy the life raft Back in April we looked in detail at the challenges and potential outcomes facing Thames Water, the debt-laden UK utility company battling to avoid government intervention. On the back of a lacklustre set of financial results and being placed into a “turnaround oversight regime” by the regulator Ofwat, Thames Water’s situation took a further turn for the worse last week. Read more
2 Jul 2024 TwentyFour Blog The Southgate bond strategy – no subs in the second half For any fixed income investors that follow the England football team, the plan for H2 2024 may feel somewhat familiar – no substitutions in the second half. Read more
26 Jun 2024 Outlook Euro banks well prepared as Basel marathon enters final stretch The global financial crisis was a seismic shock to banking systems globally, and triggered a regulatory marathon with banks having to adapt to a far stricter set of rules (known as Basel III) set out by the Basel Committee on Banking Supervision (BCBS). Read more
19 Jun 2024 TwentyFour Blog August cut hopes fade despite BoE’s inflation bullseye The latest UK inflation figures will bring some relief for consumers, but beneath the headline figure the Bank of England’s (BoE) policymakers face a more complex picture that suggests interest rate cuts may still be some way off. Read more
13 Jun 2024 TwentyFour Blog CPI and FOMC post mortem Consumer Price Index (CPI) inflation as an entrée was well received by the diners, prompting a 15 basis points (bps) rally in the 10-year Treasury. The main course though, was met with some adverse critiques as the Federal Open Market Committee (FOMC) delivered a slightly more hawkish dot plot than expected. Read more
10 Jun 2024 TwentyFour Blog Global headlines aplenty but trends continue For the fixed income fanatics amongst us, June was always going to be one for the books with all three of the major central banks meeting, elections, and continued data. Read more
5 Jun 2024 TwentyFour Blog Bank analysis takes more than one ratio We do not usually comment on press articles, but we were all quite surprised to read a piece on Bloomberg titled “A fragile banking system won’t make Europe stronger”. Read more
31 May 2024 TwentyFour Blog In the spotlight: European Parliament election When market participants were asked at the end of last year to enumerate the main risks investors would face in 2024, the vast majority of those surveyed counted politics and elections amongst the top factors to consider for the unrewarding task of forecasting total returns for major asset classes over the following twelve months. Read more
28 May 2024 Market Update The duration deliberation - to extend or not to extend? TwentyFour Asset Management’s Chris Bowie, takes a closer look at how he is thinking about duration within fixed income portfolios and shows how following conventional wisdom on duration might prove costly for some investors this year. Read more
24 May 2024 Event Replay Sustainable Global Corporate Bond Fund webinar On this webinar, Gordon Shannon (Partner, Portfolio Management) provided an introduction to our new sustainable, global investment grade fund Sustainable Global Corporate Bond Fund, in light of its upcoming launch. Watch now
23 May 2024 TwentyFour Blog ABS and CLOs break 2.0 issuance records The European asset-backed securities (ABS) market saw a record issuance last week with €5bn of primary issuance. Read more