Why momentum is key to our ESG approach
Gordon Shannon, Portfolio Manager, discusses momentum in ESG investing.
Engagement at TwentyFour
Jack Daley discusses how we actively engage with companies on behalf of our clients to help transition to a more ESG responsible world.
Why we still like AT1s
Gary Kirk, Partner and Portfolio Manager discusses Bank Capital, in particular, AT1s, and why this is a sector we like.
Opportunities in emerging markets
Felipe Villarroel, Partner and Portfolio Manager discusses emerging markets
The benefits corporate hybrids can offer
A member of our Multi-Sector Bond team explains hybrids, how they work, and their benefits.
High yield bonds and defaults
George Curtis discusses high yield and default rates.
Why we think ABS is a good solution for ESG
Elena Rinaldi discusses why ABS should be seriously considered by investors looking to invest on an ESG or sustainable basis.
Where to look for income post-COVID
Partner and Portfolio Manager Chris Bowie discusses the sources of income for investors within Fixed Income following the COVID crisis.
The growth of green bonds
A member of our Investment Grade team discusses the growth of green bonds over the last few years.
Corporate Social Responsibility at TwentyFour
Sophia Papi discusses TwentyFour's CSR approach.
COVID credit performance in ABS
Marko Feiertag, Portfolio Manager, discusses the ABS credit performance during the COVID crisis.
TwentyFour's active approach to ESG
A member of our Multi-Sector Bond team discusses TwentyFour's ESG approach.