Fixed-income ETFs are rapidly gaining popularity among advisors, driven by growing familiarity, diverse offerings and strong ...
Amid the administration’s flurry of affordability-targeted policy initiatives, bond investment opportunities are emerging.
The third quarter of 2025 highlighted a continued preference for fixed income investments, with a notable shift toward global and international diversification. Leading the charge was the PSN Global ...
With President Donald Trump continuing to threaten imposing tariffs on numerous countries, investors are once again bracing for a return to a highly unpredictable policy environment. Despite recent ...
Fixed income is for stability. In 2025, interest rates on fixed deposits fell, while yields on government bonds increased. The interest rates on corporate bonds saw some moderation but held steady.
The current environment is marked by policy volatility, as markets grapple with ongoing inflationary pressures and a ...
Investing in financial markets involves diverse options like equities, mutual funds, and fixed-income instruments. Each ...
Active fund managers have been on the defensive for years. As the biannual Morningstar Active/Passive Barometer regularly demonstrates, active funds overall don’t have a strong track record against ...
Asset owners worldwide are on a net basis increasing allocations across fixed income sectors, according to a study by money manager Capital Group. The survey of 300 institutional investors globally ...
Income matters in retirement. But so does protecting what you’ve already built.