Top Articles

  • Portfolio Insights: Multi-Sector Bond – July 2026
  • US Treasury intervention unlikely to provide lasting support
  • Data centre debt: Navigating shifts in sentiment
  • The three pillars of Multi-Asset Credit at TwentyFour
  • Flash Fixed Income: Riding the bumps in credit markets
  • US life insurers feel private credit scrutiny
  • Bank Earnings – US consumer remains in good health
  • How hyperscaler issuance is reshaping the Treasury curve
  • Can Warsh get markets to play the ball, not the referee?
  • Five reasons to invest in Multi-Asset Credit
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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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    Waller vs Warsh: Finding the Fed’s strike zone
    New Federal Reserve Chair Kevin Warsh’s reluctance to define a clear “strike zone” for forward guidance has put him increasingly at odds with Governor Christopher Waller.

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Webinar

Replay: Capturing opportunities across the global corporate bond universe
8 Jul 2026 Webinar

Replay: Capturing opportunities across the global corporate bond universe

In this webinar, Gordon Shannon, Partner and Co-Head of Investment Grade (IG) discusses the outlook for global fixed income markets, including inflation expectations, interest rates and the policy direction of major central banks.
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Replay: Multi-Asset Credit - Separating credit allocation from government bonds
3 Jun 2026 Webinar

Replay: Multi-Asset Credit - Separating credit allocation from government bonds

In this webinar, Partner and Portfolio Manager, George Curtis provides a macro update on fixed income markets and discusses the TwentyFour Multi-Asset Credit Strategy in more detail.
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Volatility ahead – geopolitics, inflation and fiscal fragility
14 May 2026 Webinar

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.
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Closed-ended investment company update - March 2026
25 Mar 2026 Webinar

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.
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Webinar replay: The Federal Reserve explained
29 Jan 2026 Webinar

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 Webinar

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 Webinar

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
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