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  • Flash Fixed Income: AI and the software sell-off
  • Navigating 2026 risks with short-dated credit
  • Flash Fixed Income: The Fed independence premium
  • The TwentyFour 7: Seven questions that could define 2026 for fixed income
  • The changing role of government bonds
  • Finding returns through curve positioning
  • What the bear case on AI is missing
  • Credit technical to remain strong
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  • FX volatility running high
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    What the bear case on AI is missing
    What the bear case on AI is missing
    We have had an eventful few weeks of AI-driven volatility in markets, with markets seemingly swinging from “everyone’s a winner” to “everyone’s a loser” faster than technological progress itself.

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Fixed Income

Flash Fixed Income new imagery - 3
Mar 11 2025 Flash Fixed Income

Flash Fixed Income: A game-changer for European assets?

The incoming German government’s removal of the country’s infamous “debt brake” is a serious pivot for the typically fiscally conservative country, and one that we think highlights the value on offer in European assets.
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Flash Fixed Income new imagery - 2
Feb 18 2025 Flash Fixed Income

Flash Fixed Income: Is term premium back?

Since the Federal Reserve first cut interest rates in September, we have seen the most aggressive rise in US Treasury yields of any cutting cycle over the past 40 years.
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Asset-Backed Securities Quarterly Update – July 2024
Jan 22 2025 Market Update

Asset-Backed Securities Quarterly Update – January 2025

As the fourth quarter of 2024 comes to a close, TwentyFour Asset Management’s Douglas Charleston reflects on the past year’s events and explains why, in his view, the record supply of European ABS and CLOs in 2024 is likely to be matched in 2025.
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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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European ABS 2025: Income will remain king
Jan 15 2025 Market Update

European ABS 2025: Income will remain king

Given modest interest rate cut projections, a stable if not stellar macro backdrop and better relative value than corporate credit, we think European ABS investors can expect another strong year of supply and returns in 2025.
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Trump dunks on the NZBA with Wall Street exodus
Jan 13 2025 TwentyFour Blog

Trump dunks on the NZBA with Wall Street exodus

The Net Zero Banking Alliance (NZBA) has been the flagship climate initiative for banks to advertise their commitment to aligning their investment and lending portfolios with net-zero targets by 2050 or sooner. However, in recent weeks the NZBA has been hit with the withdrawal of all its major Wall Street banks.
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Busy primary shows fixed income’s strong technical backdrop
Jan 08 2025 TwentyFour Blog

Busy primary shows fixed income’s strong technical backdrop

It has been a busy start to 2025 in fixed income markets. After the Federal Reserve’s (Fed) hawkish December dot plot, which added fuel to a sell-off in rates last month, you might have thought primary market activity would be more cautious than both issuers and investors would have anticipated a month ago.
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Flash Fixed Income new imagery - 3
Dec 13 2024 Flash Fixed Income

Flash Fixed Income: Credit correction coming?

Spread tightening has left some market participants nervous about fixed income valuations going into 2025, but we think the drivers of recent credit performance are unlikely to weaken materially in the coming months.
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Fixed Income 2025: Yields trump possibility of spread correction
Dec 10 2024 TwentyFour Blog

Fixed Income 2025: Yields trump possibility of spread correction

With a macro backdrop of falling rates and solid global growth, TwentyFour Asset Management's Eoin Walsh says fixed income investors can expect healthy total returns in 2025.
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In bank capital, it’s quality over quantity
Dec 04 2024 Market Update

In bank capital, it’s quality over quantity

It is important to understand the historical context behind “global” capital rules, and why they differ for EU and US banks.
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