As currency troubles hit emerging markets from Turkey to Brazil, investors holding EM debt are set for a bumpy ride.
Despite declines in 2018 and concerns over the effects of a trade war, two top investors believe the future is bright for emerging markets.
As rising interest rates dent the appeal of fixed income strategies, it’s time to take a closer look at how some of the most popular bond funds are shaping up.
Conventional wisdom suggests that investment grade corporate bonds are supposed to boost a portfolio’s risk-adjusted returns. But is it true?
Investors beware! The S&P 500’s Sharpe ratio might warn of turbulent times ahead.
Investors often panic when stock market volatility flares up, but what explains their bad behavior in fixed income?
The return of volatility earlier this month set stock markets on edge, but are we really in bubble territory?
A number of funds now offer ways to capture the value factor, even when it's on a difficult run.
The default rate may be low, but there’s nothing to say it’ll stay that way. Does it really make sense for investors to favor riskier junk bonds over Treasuries?
With low volatility stocks coming in at high prices right now, investors need to think carefully when it comes to smart beta