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  • French politics: déjà vu
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    We are an asset management company and we specialise in fixed income, nothing else. This fixed income specialist focus means that all our resources and people are managing one asset class with no distractions.

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    Should bond markets fear an AI bubble?
    Should bond markets fear an AI bubble?
    There is an emerging sense of unease in the markets around the scale and productivity of corporate investments in AI. As fixed income investors, not equity or tech managers, we will not aim to assess the longevity or possible applications of these nascent technologies, and nor should we opine on when or by how much equity markets might go up or down.

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Market Update

Why are high break-evens attractive for investors
13 Sep 2022 Market Update

Why are high break-evens attractive for investors?

Johnathan Owen explains why bonds with high break-even yields can be attractive for investors, and looks at two examples of UK companies with high break-evens.
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High yields mean fixed income can tick all the boxes for investors
13 Sep 2022 Market Update

High yields mean fixed income can tick all the boxes for investors

Ben Hayward explains why bond yields are unusually high today, and why he believes the fixed income market could satisfy investors’ needs in the current environment.
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Is there now enough yield on the table in fixed income
13 Sep 2022 Market Update

Is there now enough yield on the table in fixed income?

Chris Bowie runs through the four risks he says fixed income investors need to watch right now – inflation, unemployment, geopolitics and liquidity – and why he believes short dated bonds might offer some protection
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ESG in ABS update
13 Sep 2022 Market Update

ESG in ABS Update

How has ESG in the ABS market changed over the last year? Pauline Quirin talks through some of the positive development she's seen and the main challenges facing the ABS market.
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Investment Grade Quarterly Update – July 2022 Teaser
20 Jul 2022 Market Update

Investment Grade Quarterly Update – July 2022

Gordon Shannon reviews Q2 2022 in fixed income and breaks down the resulting risks and opportunities he sees in investment grade bonds.
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Multi-Sector Bond Quarterly Update – July 2022 Teaser
20 Jul 2022 Market Update

Multi-Sector Bond Quarterly Update – July 2022

A member from our Multi-Sector Bond team reviews the main market drivers in the second quarter of 2022 and explains how the Strategic Income team is tackling today’s environment.
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Asset-Backed Securities Quarterly Update – July 2022 Teaser
20 Jul 2022 Market Update

Asset-Backed Securities Quarterly Update – July 2022

Douglas Charleston looks at the development of the European ABS market in the second quarter of 2022 and explains what this could mean for investors going forward.
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ESG Quarterly Update - July 2022 Teaser
20 Jul 2022 Market Update

ESG Quarterly Update - July 2022

Charlene Hogg summarises the firm's ESG activities in Q2 2022 and explains how regulation, planning for net zero and CSR are having an impact.
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How to prep your bond portfolio for recession image
10 May 2022 Market Update

How to prep your bond portfolio for recession

At the beginning of this year you would have struggled to find a single investment bank or asset manager (ourselves included) that thought owning 10-year US Treasuries (USTs) was a good idea.
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Everything you need to know about CLOs
26 Apr 2022 Market Update

Everything you need to know about CLOs

Collateralised Loan Obligations, or CLOs, are bond instruments issued to fund a specific pool of loans, typically senior secured or ‘leveraged’ loans, to companies.
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TwentyFour Income Fund Webinar
22 Apr 2022 Market Update

TwentyFour Income Fund - Investor Webinar

One of the best ways to insulate against rising rates is to take zero interest rate exposure and invest in floating rate securities. European ABS is all floating rate, with no duration, so prices do not move up or down when rates move and with higher rates come higher coupons.
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Investment Grade Quarterly Update – April 2022 Teaser
13 Apr 2022 Market Update

Investment Grade Quarterly Update – April 2022

TwentyFour Partner and Portfolio Manager, Gordon Shannon, describes the developments of the investment grade strategy in Q1 2022.
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