9 Oct 2020 TwentyFour Blog Pre-Election Bond Outlook In this short video, TwentyFour CEO Mark Holman outlines what he expects to see from bond markets in the next few weeks, and explains why he thinks fiscal stimulus in the US can be the catalyst for the rally to resume in the medium term. Read more
8 Oct 2020 TwentyFour Blog More Noise Than Substance on UK Banks The press can have their sensational headlines, but these stories have little substance when it comes to the impact on the reputation risk of banks or indeed any significant impact on their balance sheets come May 2021. Read more
2 Oct 2020 TwentyFour Blog Europe’s Lending Machine Fuels ABS De-leveraging One of the legacies of Europe’s post-crisis lending landscape was a huge retrenchment in risk appetite, amplified by a lack of bank capital and in some instances funding for an extended period of time. Read more
30 Sep 2020 Market Update TwentyFour Absolute Return Fund - 5 Year Anniversary Having just celebrated the fifth birthday of his Vontobel Fund – TwentyFour Absolute Return Credit Fund, Chris Bowie discusses some of his biggest challenges in the past five years, who the fund is designed for and how it has performed over that five year period. Watch now
30 Sep 2020 TwentyFour Blog Mind the Gap With September set to be the first negative month for most risk asset markets since March, it is worth analysing what has been driving the reversal. Read more
25 Sep 2020 Market Update Absolute Return Credit (ARC) is Five Five years ago we launched a simple strategy with a complicated name. The goal sounded simple: to return 2.5% more than cash, after fees, from a long-only, unlevered credit fund. And to do that with as little volatility as possible (but never being allowed to have more than 3% volatility). Read more
25 Sep 2020 TwentyFour Blog CLOs Outperform Gloomy Forecasts Overall CLO and loan performance have exceeded our expectations, though there are still plenty of headwinds for the market, chief among which is the prospect of further lockdowns and more economic disruption as Europe battles a second wave of COVID-19 cases. Read more
16 Sep 2020 Market Update Fixed Income Festival 2020 – ESG Breakout Session Graeme Anderson hosted abreakout session in the ESG tent where he discussed TwentyFour's ESG Integration model, how company behaviour affects our ESG scoring and how our Observatory relative value system has enabled us to build ESG analysis into the investment process the portfolio managers use every day. Watch now
22 Sep 2020 TwentyFour Blog Will The Latest Dip Be Bought? Overall, in our view there may be some temporary volatility ahead which investors can try to sidestep or even take advantage of, but it’s probably not worth trying to be too cute as our medium term outlook is still constructive. Read more