This content is from: Portfolio PineBridge: Downgrades of Emerging Market Bonds Are Rarely Contagious The distressed bond markets in Russia and China’s property sector don’t imply a dark future for emerging market debt as a whole. By Hannah Zhang June 07, 2022
This content is from: Portfolio Bonds Just Had Their Worst Year. Is it Enough to Make Them Attractive Again? Thanks to the rising likelihood of a recession and a surge in yields, the worst may be over for fixed income. By Hannah Zhang June 21, 2022
This content is from: Corner Office Was the ‘Bond King’ Great? Bill Gross was synonymous with fixed income investing for 40 years — but the question of whether he generated real alpha still hovers over his legacy. By Mary Childs May 06, 2022
This content is from: Portfolio For Short-Term Investors, Private Credit May Not Be the Best Choice The booming private asset class has been less rewarding for investors in 2022 than the public bond markets, according to PineBridge’s Steven Oh. By Hannah Zhang June 08, 2022
This content is from: Portfolio D.E. Shaw: Stock Investors May Have More Exposure to Interest Rates Than They Think The real estate and utility sectors would outperform the most if interest rates continue to rise. By Hannah Zhang June 27, 2022