6 Jul 2021 Market Update Is the Fed behind the curve on inflation? In this video, TwentyFour CEO Mark Holman joins Tom Porter to decipher the Fed’s latest messaging, and to remind bond managers that Jerome Powell is not one of them. Watch now
25 Jun 2021 Market Update The Active ESG Dimension TwentyFour Asset Management’s purpose-built Observatory platform scans the global universe of bonds looking for ESG stars Read more
25 Jun 2021 Market Update Building an ESG Observatory The definitions of what ESG really means are still blurry and there is no one-size-fits-all approach to sustainability. If anything, the growing popularity of these funds has highlighted the differences in the expectations of both individual investors and institutions when it comes to ESG. Read more
25 Jun 2021 Market Update Where is the ESG fixed income sweet spot? Creating a truly sustainable bond fund is no mean feat. Unlike the listed equity universe, where ESG data is more readily available, it is often sorely lacking in the fixed income space. At the same time, the problem for fixed income managers is exacerbated by the complexity of a bond’s structure, consisting of multiple parts which must all be individually assessed. Read more
25 Jun 2021 Market Update ESG's tipping point Fixed income investors are in "pole position to push for change" when it comes to ESG Read more
24 Jun 2021 Market Update AT1 Virtual Event: Re-Rating AT1s and the Banking Sector - 24th June 2021 In this unique virtual event from TwentyFour Asset Management, TwentyFour CEO Mark Holman guided us through the AT1 market as we discovered what role he thinks these bonds can play in a fixed income portfolio. Watch now
10 Jun 2021 Market Update Don’t get left behind in fixed income The remarkable pace of change in the markets as the global economy reopens points to opportunities in higher yielding bonds, with financials in particular set to benefit, says TwentyFour Asset Management CEO and portfolio manager Mark Holman. Read more
20 May 2021 Market Update Inflation and Fixed Income: Threat and Opportunity TwentyFour partners Gordon Shannon, Doug Charleston and Felipe Villarroel sat down to debate the potential impact of inflation on the fixed income universe, from government bonds and investment grade credit through to ABS and high yield. Watch now
20 May 2021 Market Update Three tips for bond issuers on ESG data The inexorable growth of sustainable investing during the last decade is likely to continue without interruption given the experience of COVID-19 has only intensified investor and regulatory focus on environmental, social and governance (ESG) issues globally. Read more
20 May 2021 Market Update Five lessons we've learned from sustainable bond investing TwentyFour Asset Management launched its first sustainable fund in January 2020 and I would like to share some of the lessons we have learned from our first year of sustainable bond investing. Read more
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