27 Jul 2023 TwentyFour Blog ECB's bank lending survey has something for everyone Felipe Villarroel gives an overview of what he believes to be important features of the survey, reflecting on both the good and the bad news. Read more
19 Jul 2023 TwentyFour Blog Reinvestment risk growing, along with the soft landing narrative What level of risk are investors willing to take? As central bank rates hike and a soft landing narrative makes its way into analysts’ forecasts, Eoin Walsh takes a look at what affects this has on investment risk and reinvestment risk. Read more
19 Jul 2023 Market Update Investment Grade Quarterly Update – July 2023 Jack Daley takes a look into the economic events that have influenced the investment grade markets in Q2. He then goes on to explain why he believes investment grade fixed income offers the most attractive risk-adjusted returns currently available. Watch now
19 Jul 2023 Market Update Multi-Sector Bond Quarterly Update – July 2023 In our MSB update, Charlene Malik, reflects on the banking turmoil that occurred in Q2, as well as happenings around the US debt ceiling and global inflation. She then goes on to discuss the ways the MSB team have responded to Q2 events. Watch now
18 Jul 2023 TwentyFour Blog Soft landing narrative taking hold What sort of landing will the global economy experience? With the recent release of the US CPI report, inflation has been on a downward trend and the resilient activity data has continued to surprise many. This report has acted as a trigger of sorts for increasing calls for a soft landing. Read more
14 Jul 2023 TwentyFour Blog Two interesting reports by the Bank of England The Bank of England has released two reports, namely the Bank of England’s UK Banking Sector Stress Test and the Credit Conditions Survey. Felipe Villarroel discusses the findings in these reports. Read more
11 Jul 2023 TwentyFour Blog A new theme to the upcoming earnings season As we enter earnings season, Felipe Villarroel believes a new topic of interest on many market participant's mind is US regional banks. From a macro point of view, one topic markets are likely to focus on includes to what degree, if at all, have deposits returned in any size to the sector? Read more
16 Jun 2023 TwentyFour Blog Central Banks did not rock the boat In a week with several important releases and monetary policy decisions, what have we learnt? Read more
13 Jun 2023 TwentyFour Blog BBVA take a significant step forward for AT1s BBVA have announced they are issuing a new AT1. What does this mean for the market? Eoin Walsh believes this could be the catalyst investors have been waiting for to help AT1 spreads grind tighter. Read more
12 Jun 2023 TwentyFour Blog A busy week ahead for central banks What can we expect from central banks this week? Felipe Villarroel looks at how recent CPI prints in the Eurozone and in the United States are expected to influence upcoming central bank monetary policy decisions. Read more
8 Jun 2023 TwentyFour Blog European consumers not expecting a hard landing What have we learnt from the ECB’s Consumer Expectations Survey? Felipe Villarroel discusses how latest changes in the consumer’s expectations of the economy reflect that the ECB’s monetary policy is actually working. Read more
30 May 2023 TwentyFour Blog Blurred Lines There has been a noticeable pick up in the European ABS new issuance market this year, with demand far outstripping supply. John Lawler looks at what makes a UK RMBS deal ‘Prime’, and why not all deals are the same. Read more