Top Articles

  • Is private credit a bond market problem?
  • Portfolio Insights: Multi-Sector Bond – April 2026
  • Flash Fixed Income: Risks unbalanced as “war premium” fades
  • Navigating 2026 risks with short-dated credit
  • Portfolio Insights: Investment Grade – April 2026
  • AT1s: A perception change is long overdue
  • ABS: An untapped source of yield
  • The state of play in fixed income as Iran tensions reignite
  • Corporate hybrid boom comes with pricing risks
  • Geopolitics in the driver’s seat
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    We are an asset management company and we specialise in fixed income, nothing else. This fixed income specialist focus means that all our resources and people are managing one asset class with no distractions.

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    European bank results show little impact from Middle East conflict
    European bank results show little impact from Middle East conflict
    European bank results for the first quarter of 2026 have revealed a strong start to the year, allaying some of the concern that the prolonged conflict in the Middle East might impact bank fundamentals to some extent.

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Insights Topic

Event Replay

Volatility ahead – geopolitics, inflation and fiscal fragility
14 May 2026 Event Replay

Replay: Volatility ahead – geopolitics, inflation and fiscal fragility

Fixed income markets have shown a degree of resilience this year, with credit spreads remaining tight and demand for income holding up, despite ongoing geopolitical tension, inflation uncertainty and growing fiscal concerns.
Watch now
Closed-ended investment company update - March 2026
25 Mar 2026 Event Replay

Replay: Closed-ended investment company update - March 2026

In our latest closed-ended investment company update, George Curtis, Partner, Portfolio Management, and Aza Teeuwen, Partner, Co-Head of ABS, shared their insights on our TwentyFour Select Monthly Income Fund and TwentyFour Income Fund.
Watch now
Webinar replay: The Federal Reserve explained
29 Jan 2026 Event Replay

Replay: The Federal Reserve explained

Recent developments involving Federal Reserve (Fed) Chair Jerome Powell have raised fresh questions around central bank independence, the politicisation of monetary policy, and the future of Fed leadership, particularly with his term as Chair due to expire in May 2026.
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Webinar replay: Can credit keep delivering?
13 Jan 2026 Event Replay

Replay: Can credit keep delivering?

After a constructive 2025 for fixed income markets, marked by falling interest rates and steady global growth, investors are looking ahead to what’s in store for 2026.
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Deeper market, stronger demand: The impact of European ABS regulatory reforms
6 Nov 2025 Event Replay

Replay: Deeper market, stronger demand: The impact of European ABS regulatory reforms

Watch TwentyFour Asset Management's latest European ABS webinar with Rob Ford and Douglas Charleston to gain a deeper understanding of how regulatory reforms are reshaping the European ABS landscape and fuelling investor demand.
Watch now
TwentyFour Global CLOs Webinar - July 2025
9 Jul 2025 Event Replay

TwentyFour Global CLOs Webinar - July 2025

Aza Teeuwen (Partner, Co-Head of ABS) and Elena Rinaldi (Portfolio Management) hosted a webinar on Wednesday 9 July 2025, where they shared insights into recent trends in global CLOs.
Watch now
Sustainable Global Corporate Bond Fund header image
3 Jun 2025 Event Replay

TwentyFour Sustainable Global Corporate Bond Fund Webinar - June 2025

Partner, Co-Head of Investment Grade, Gordon Shannon hosted a webinar on Tuesday 3 June 2025 where he provides insights into the key macroeconomic themes shaping fixed income markets and how these factors influence the fund’s positioning.
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Investor Update - January 2025
21 Jan 2025 Event Replay

Q1 Investor Update - January 2025

Trade wars and geopolitical risk head a list of potential catalysts for spread widening in 2025. However, with a macro backdrop of falling rates and solid global growth, we think credit will continue to outperform government bonds and support healthy total return expectations for fixed income investors.
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Back to Basics: Yield Curves
17 Oct 2024 Event Replay

Back to Basics: Yield curves

George Curtis (Portfolio Management), from our Multi-Sector Bond team provided a comprehensive understanding of the key aspects of yield curves.
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Back to Basics: Significant Risk Transfer transactions
1 Oct 2024 Event Replay

Back to Basics: Significant risk transfer

Douglas Charleston (Partner, Co-Head of ABS) and Pauline Quirin (Portfolio Management), from our Asset-Backed securities team provided a comprehensive understanding of the key aspects and trends within the Significant Risk Transfer (SRT) market.
Watch now
Spotlight on ESG: Evaluating social factors in fixed income investing
25 Sep 2024 Event Replay

Spotlight on ESG: Evaluating social factors in fixed income investing

Our investment grade team discussed social bonds in more detail and TwentyFour's approach to considering social factors in the companies that we invest in.
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Back to Basics: Corporate Hybrids
27 Jun 2024 Event Replay

Back to Basics: Corporate hybrids

In this Back to Basics webinar, Gordon Shannon (Partner, Co-Head of Investment Grade) and Johnathan Owen (Portfolio Management) from our Investment grade team provided a comprehensive understanding of the key aspects of corporate hybrids.
Watch now
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