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  • Portfolio Insights: Multi-Sector Bond – July 2026
  • Flash Fixed Income: Riding the bumps in credit markets
  • Burnham vs. bonds: Gilt risks are skewed to the downside
  • Bank Earnings – US consumer remains in good health
  • Can the bond market digest AI hyperscaler supply?
  • Five reasons to invest in CLOs
  • Five reasons to invest in Multi-Asset Credit
  • Data centre debt: Navigating shifts in sentiment
  • The three pillars of Multi-Asset Credit at TwentyFour
  • Asset-backed finance: How does Europe stack up?
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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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    European financials remain resilient after strong Q2 earnings
    European financials remain resilient after strong Q2 earnings
    As we approach the end of the reporting season for European financials, including banks and insurers, Q2 2026 has proven to be another strong quarter, with most reported earnings coming in ahead of consensus and several banks upgrading their already ambitious profitability guidance for the year.

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