13 May 2021 Market Update Multi-Sector Bond Q2 2021 Update In TwentyFour's Multi-Sector Bond update on Thursday 13th May 2021, Partner & Portfolio Manager Eoin Walsh provided an update on investment themes and positioning in the fixed income market. Watch now
12 May 2021 Market Update What are AT1 bonds, and how do they work? Additional Tier 1 bonds, or AT1s for short, are part of a family of bank capital securities known as Contingent Convertibles or ‘Cocos’. They are bonds issued by banks that contribute to the total level of capital they are required to hold by regulators. Watch now
12 May 2021 Market Update Investment Grade Q2 2021 Update In TwentyFour's Investment Grade update on Wednesday 12th May 2021, Partner and Portfolio Manager Chris Bowie provided an update on investment themes and positioning in the Investment Grade market. Watch now
11 May 2021 Market Update Sustainable Short Term Bond Income Q2 2021 Update In TwentyFour's Vontobel Fund - Short Term Bond Income update on Tuesday 11th May 2021, Partner and Portfolio Manager, Chris Bowie provided an update on investment themes and positioning for Vontobel Fund - TwentyFour Sustainable Short Term Bond Income. Watch now
10 May 2021 Market Update Asset-Backed Securities Q2 2021 Update In TwentyFour's ABS update on Monday 10th May 2021, Aza Teeuwen provided an update on investment themes and positioning in the ABS market. Watch now
11 May 2021 TwentyFour Blog Classic Late-cycle Issuance…in Mid-cycle Markets can often be tricky for investors in May as bond issuers take advantage of a window of opportunity following the Q1 earnings season and ahead of the typical summer lull. This often results in heavy supply in late April and early May, hence the old trader adage of “sell in May and go away”. Read more
10 May 2021 TwentyFour Blog Is Shunning Coal a Good Policy for Capital Markets? As long as coal usage is not illegal, a private buyer of any origin will be able to purchase these assets cheaper and run them for as long as possible with no regard for ESG matters. Read more
6 May 2021 TwentyFour Blog What's Happened to the Brexit Premium? There has been a lot of focus on the performance of the high yield markets since the start of the year, particularly in Q1 when many rates markets were selling off aggressively. Read more
5 May 2021 TwentyFour Blog Beware a Second Wave of Treasury Selling Crucially while the Fed may wait to see the evidence, markets won’t, and we therefore expect a ‘second wave’ of Treasury selling to happen well before then. Read more
29 Apr 2021 Market Update Q2 2021 Investor Update In TwentyFour's quarterly update, Mark Holman discussed his outlook for the bellwether US Treasury curve, and explained how he thinks investors can still look to pick up yield while avoiding traditionally more rate-sensitive markets. Watch now