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  • Navigating 2026 risks with short-dated credit
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  • What the bear case on AI is missing
  • Flash Fixed Income: The Fed independence premium
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    Is number of UK savers a problem for the Bank of England?
    Is number of UK savers a problem for the Bank of England?
    Data published by the Bank of England (BoE) on Friday shows an interesting trend in consumers’ approach to interest rates.

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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
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Danny Zaid

Portfolio Management
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Insights

Investment Grade Quarterly Update – July 2024
Jan 22 2025 Market Update

Investment Grade Quarterly Update – January 2025

In what has been a busy start to 2025, TwentyFour Asset Management’s Gordon Shannon looks back on the final quarter of 2024.
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24 - Market updates - Multi-Sector Bond Quarterly Update – January 2025
Jan 22 2025 Market Update

Multi-Sector Bond Quarterly Update – January 2025

It has been a busy year in fixed income markets, with Q4 2024 proving to be a pivotal period marked by significant global events, including the US election. TwentyFour Asset Management’s Eoin Walsh looks at the path for interest rate cuts in 2025.
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Flash Fixed Income new imagery - 1
Jan 20 2025 Flash Fixed Income

Flash Fixed Income: Three big themes for 2025

Will volatility in government bonds continue? Has fixed income seen “peak ESG”? And what will be the biggest driver of returns?
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