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Bonds

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More In Bonds

Q2 European Bonds Outlook: Will the Bond Market Rebound from Iran War Selloff?

The crisis in the Middle East has radically changed interest rate expectations, driving down bond prices, but the market may have misjudged the ECB’s future moves.

Central Banks Are Cutting Rates—Will This Send Long-Term Government Bonds Into Crisis?

Bond yields have risen despite interest rate cuts and may no longer protect investors from market risks.

Momentum Meets Discipline: French Banks Deliver Strong Results in 2025

French lenders have managed their expenses well in the past year, while a more favorable interest rate environment drove a rebound in retail banking.

EUR Corporate Bond Funds in 2026: Where Are Managers Investing Now?

From Schroders to Morgan Stanley, leading fund managers reveal how they’re navigating high valuations and steady inflows into euro investment-grade credit.

Japanese Bond Selloff: We See Risk of Future Fiscal Constraint But Limited Impact on Equities

Should the market correct further on bond worries, we look forward to buying opportunities.

Why European Bonds Are Attractive Right Now

Solid economic fundamentals and attractive yields make European fixed income more appealing than other developed markets, according to Robert Tipp of PGIM.

How to Generate Steady Income in 2026

Plus, balancing the risks and rewards to produce predictable payouts.

5 Investing Surprises From 2025

The year proved once again that staying the course pays off for investors.

European Central Bank Holds Interest Rates in Last Meeting of 2025

The ECB also revised economic growth and inflation forecasts higher for 2026.

3 Contrarian Investment Ideas for 2026

It’s better to prepare your portfolio for a range of outcomes than try to predict 2026 investment performance.

Why 2026 Will Be a Turning Point for Bonds

With the US Fed poised for two more cuts and the ECB potentially turning hawkish, Nuveen’s Laura Cooper highlights where European bond investors can find value next year.

Is Going Passive in Fixed-Income a Mistake for Investors?

What hidden risks could be hiding in your fixed-income portfolio, the downside of trying to be tactical with bonds, and what we can learn from 2022’s bond market meltdown.

What’s the Outlook for European Bonds in 2026?

Narrowing yield spreads, higher public spending, and divergence among central banks are key themes.

What Are EU Bonds and Can They Become a Safe-Haven Powerhouse?

European Union-backed bonds have grown into a rising asset class with global demand.

3 Top-Rated Global Flexible Bond Funds

Funds from BlackRock, Pimco, and Dodge & Cox make the grade.

What Is Financial Repression, and Why Should Bond Investors Fear It?

Interest rates that are artificially low relative to inflation reduce the purchasing power of investors in government bonds.

The Euro Government Bond Funds Least Exposed to French Debt

Funds from Generali Investments, Robeco, and RBC BlueBay are among those with the lowest weighting to French government bonds.

Here’s Why Fund Managers Are Increasing Their Weighting in Spanish Bonds

Spanish bonds are attracting the interest of fixed income investors.

European Bond Outlook: Where to Invest in Q4

While bond yields are more attractive than cash, the market will remain volatile due to geopolitical risks and concerns about the sustainability of public finances.

What Investors Need to Know About the Steepening Yield Curve

Short-term yields are falling as the US Fed cuts interest rates.