Oct 07 2025 TwentyFour Blog French politics: déjà vu France is in the news again. Prime Minister Lecornu became the latest casualty of the French politics saga that began just over a year ago when president Macron called a surprise early election. Read more
Oct 01 2025 Market Update The pain is getting real for those long cash In November 2023, we estimated that holding cash, as opposed to staying invested, could cost investors 10-30% over a three-year period. At the time, we highlighted that interest rates had reached their cyclical peaks and were likely to decrease from that point. Read more
Sep 22 2025 Flash Fixed Income Flash Fixed Income: Rate cuts won’t help long-dated bonds With the Fed’s stance suggesting it is prioritising growth over sticky inflation risks, volatility in longer dated bonds is likely to persist and the case for increasing duration in fixed income is not compelling. Read more
Sep 19 2025 White Paper An introduction to global CLOs Collateralised loan obligations, or CLOs, have become an increasingly popular asset class within global fixed income. Read more
Aug 29 2025 Market Update Asset-backed finance: How does Europe stack up? The $5.2tr asset-backed finance (ABF) market represents a growing opportunity to gain exposure to high quality loan pools and the returns they can generate. Read more
Jul 15 2025 Flash Fixed Income Flash Fixed Income: Forget tariffs, watch the US labour market The Trump administration’s immigration policy leaves the US labour market at a pivotal juncture. Read more
Jul 14 2025 Market Update Investment Grade Quarterly Update – July 2025 TwentyFour Asset Management’s Gordon Shannon reflects on a volatile but resilient second quarter of 2025 for the Investment Grade team, shaped by shifting tariff policies and evolving central bank actions. Watch now
Jul 14 2025 Market Update Multi-Sector Bond Quarterly Update – July 2025 In his latest update, TwentyFour Asset Management’s George Curtis looks back at a volatile yet resilient Q2 2025 for the Multi-sector bond team. Watch now
Jul 14 2025 Market Update Asset-Backed Securities Quarterly Update – July 2025 As the second quarter of 2025 draws to a close, TwentyFour Asset Management’s Elena Rinaldi shares her insights on a period shaped by significant geopolitical and macroeconomic developments. Watch now
Jul 09 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
Jul 02 2025 Market Update European fixed income offers value, not just diversification The turbulent start to 2025 has sent many investors seeking alternatives to US assets, but in our view European fixed income can offer more than just diversification. Read more
Jun 24 2025 Flash Fixed Income Flash Fixed Income: Rates calm before the storm? Softer US economic data means the pressures on UST yields now look more balanced, but headlines around President Trump’s pick for the next Fed chair are just one reason investors should expect rates volatility to continue. Read more