Fixed Income Insights (Global) 

The Fixed Income Global reports are available in US, Eurozone, UK and Japan versions, each using the local currency for measuring returns and other metrics, as well as delivering localised content. They cover shifts in global yield curves and credit spreads, across sovereign, inflation-linked and corporate indices, and FX-adjusted return performance.  

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Global & Regional Fixed Income Insights: quarterly deep dive 

Robin Marshall

Director, Fixed Income and Multi-Asset Research

Sandrine Soubeyran

Director, Global Investment Research

Join the authors of this report on their webinar to hear the answers to key questions facing investors in fixed income markets:

  • Does the recent inflation shock mean the era of zero interest rates is over?
  • Have markets re-entered a world of higher policy rates in which investor focus will shift away from duration, and back to maximising carry, yield and re-investment income?
  • How would a deep debt deflation in China impact the global fixed income outlook?
  • Do labour shortages and steeper Phillips curves mean central banks will be forced to raise inflation targets, to prevent deep recessions?
Webinar at 2pm HK (for investors in the APAC region)

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