 
  Asset-Backed Securities – Quarterly Update – April 2021
                    TwentyFour AM partner and portfolio manager Douglas Charleston discusses how ABS markets have performed in the first quarter of 2021 and provides his outlook for the rest of the year.
                
            
             
  Investment Grade – Quarterly Update – April 2021
                    TwentyFour partner and portfolio manager Gordon Shannon looks at the developments we saw in investment grade credit in the first quarter of 2021 and provides his outlook for the rest of the year. 
                
            
             
  Opportunities in Financials
                    In this virtual session, Partners & Portfolio Managers Gary Kirk & Gordon Shannon will share their views on the current opportunities within financials.
                
            
             
  Sustainable Short Term Bond Income update
                    In this virtual session, Chris Bowie (Partner & Portfolio Manager) introduces our sustainable, short duration credit fund; ‘Vontobel Fund - TwentyFour Sustainable Short Term Bond Income’.
                
            
             
  Asset-Backed Securities Update
                    In this update, TwentyFour Partner and Portfolio Manager Ben Hayward addresses some of the key reasons he thinks investors should consider allocating to ABS sooner rather than later.
                
            
             
  Investment Grade Quarterly Update – January 2021
                    Partner and portfolio manager Chris Bowie looks back at investment grade credit market performance in 2020 and provides his outlook for 2021
                
            
             
  Asset-Backed Securities Quarterly Update – January 2021
                    TwentyFour AM partner and portfolio manager Douglas Charleston discusses Q4 performance for ABS markets and provides his outlook for 2021.
                
            
             
  Multi-Sector Bond Quarterly Update – January 2021
                    George Curtis discusses credit markets in Q4 2020 and provides his outlook for the year ahead
                
            
             
  Q1 2021 Investor Update
                    After a tumultuous 2020 which nonetheless delivered strong returns in many asset classes, fixed income investors are expecting a more normalised trading environment in 2021.
                
            
             
  How big a threat is inflation?
                    Partner and Portfolio Manager Felipe Villarroel  reflects on markets in 2020 before giving his inflation outlook for 2021
                
            
             
  Our view on high yield defaults
                    In his latest video, George Curtis discusses our views on high yield defaults over the last few months and what he thinks we can expect in 2021
                
            
             
  A strong outlook for CLOs
                    Elena Rinaldi looks back at the performance of European CLOs in 2020 and explains how post-vaccine sentiment should help boost recovery in 2021, providing a positive outlook for CLOs. 
                
            
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