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Fixed Income

Fixed Income asset class

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January 2016

Strategy Natixis Asset Management’s outlook and investment strategies: where to get value in 2016?

Natixis Asset Management foresees growth picking up in the euro zone, aided by an everaccommodating ECB, even if global growth should remain moderate again this year...

November 2015

Strategy Volatility and absence of momentum in 2016 mean a tactical approach is needed

Volatility and absence of momentum in 2016 mean a tactical approach is needed, says Christophe Donay, Chief Strategist at Pictet Wealth Management

November 2015

Strategy Bank of Japan: stupor or fear?

Since the 2008 crisis, central banks have had a major influence on financial market trends. The Bank of Japan (BoJ) in particular has orchestrated a historic rally among Japanese equity markets since announcing its quantitative and qualitative easing strategy (QQE) at the (...)

November 2015

Strategy Risk concentration stronger than risk perception

The risk concentration index (RCI) for a diversified portfolio had been on a downtrend since the start of 2014. The latest risk aversion spell has brought this to an end. This index, which measures the diversity of risk sources, peaked when markets were mainly guided by the (...)

June 2015

Strategy Negative real rates likely to be a lasting feature in the Eurozone

According to René Defossez, Strategist at Natixis, it seems reasonable to assume that, to begin with, the European Central Bank will endeavour to keep the 10-year nominal swap as low as possible, which means that the breakeven swap will remain deep in negative territory. (...)

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