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  • Flash Fixed Income: Iran shock is driving central banks apart
  • CLOs reprice as software and geopolitics test sentiment
  • This isn’t 2022, but inflation threat is real
  • Record supply amid Iran turmoil shows weight of demand for bonds
  • Is number of UK savers a problem for the Bank of England?
  • Iran, energy shocks and the inflation challenge
  • Geopolitics in the driver’s seat
  • Flash Fixed Income: AI and the software sell-off
  • Private credit and life insurers: Is there a problem?
  • What the bear case on AI is missing
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    As fixed income specialists, we offer a range of solutions designed to deliver the best outcomes for our clients. 

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    European HY spread widening has been targeted and orderly
    European HY spread widening has been targeted and orderly
    European high yield (HY) credit, which had proved resilient to start 2026 despite growing concerns over AI risks, came under pressure in March as the Iran war disrupted global trade and weighed heavily on risk appetite.

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Multi-Asset Credit Strategy

The Multi-Asset Credit (MAC) strategy aims to provide an attractive level of income along with an opportunity for capital growth. The strategy is managed on an active, unconstrained basis, allocating to different regions, countries and sectors as economic conditions change, seeking the optimum mix of credit assets to maximise returns right across the market cycle.

 

Portfolio Management

Eoin Walsh

Eoin Walsh

Partner, Portfolio Management
Meet Eoin
Felipe Villarroel

Felipe Villarroel

Partner, Portfolio Management
Meet Felipe

David Norris

Partner, Head of US Credit
Meet David
Paul Kim

Paul Kim

Portfolio Management
Meet Paul

Danny Zaid

Portfolio Management
Meet Danny

Insights

Asset-Backed Securities Quarterly Update – April 2022 Teaser
Apr 13 2022 Market Update

Asset-Backed Securities Quarterly Update – April 2022

TwentyFour Portfolio Manager, Elena Rinaldi, explains how European ABS markets behaved in Q1 2022 and provides her outlook for the year ahead.
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Why short term bonds can be the ideal tonic for rampant inflation
Mar 30 2022 Market Update

Why short term bonds can be the ideal tonic for rampant inflation

Inflation’s resurgence has created a huge challenge for fixed income investors so far in 2022.
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Asset-Backed Securities Quarterly Update – January 2022 Teaser
Jan 24 2022 Market Update

Asset-Backed Securities Quarterly Update – January 2022

TwentyFour Partner and Portfolio Manager, Douglas Charleston, explains how ABS markets have performed in Q4 2021 and provides his outlook for the new year.
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