
The ECB hiking cycle is likely to be over

Some recent ESG examples
A member of the Multi-Sector Bond team outlines the significance of active engagement within the ESG process at TwentyFour, and provides some examples of our recent engagements.

How ESG analysis has evolved in fixed income

Hitting the wall: What next for high yield default rates?

Temperature alignment within portfolios
Gordon Shannon, Partner and Portfolio Management, highlights climate change as one of the main topics which gathers a tremendous amount of attention within ESG investing, discussing the Paris Agreement, lack of data and poor transparency.

Bank RMBS
Elena Rinaldi, Portfolio Management, discusses how banks have benefited from many years of ultra-cheap financing from central banks – which is now coming to an end and giving way to a more dedicated capital market funding needs - and touches on what the results of these changes are.

Multi-Sector Bond Quarterly Update – October 2023

Investment Grade Quarterly Update – October 2023

Asset-Backed Securities Quarterly Update – October 2023

The health of the consumer
Charles Dennis, Portfolio Management, states that through having access to detailed consumer data, the team are able to build a very complete picture of the consumer’s profile. Alongside this, he highlights that inflation across the UK, US and Europe appears to be on its way down, which is a slight pressure ease for central banks, signalling we are at or near peak rates.
What has the consumer experienced in recent times and what does this slight easing mean for the consumer?

Today’s labour market numbers are good news for the Bank of England

Update on European banks and AT1s
Dillon Lancaster, Portfolio Management, provides an update on European banks and AT1s and the bout of volatility they suffered earlier this year, following the US regional bank crisis and Credit Suisse.
Blog updates
Stay up to date with our latest blogs and market insights delivered direct to your inbox.