Market insights
Outlook for 2022
Fisch Asset Management AG,
Our portfolio management teams present their outlooks for 2022.
China update: “Common Prosperity” – what does it mean for credit investors?
China is facing major challenges - but there are still opportunities for investors.
Read more China update: “Common Prosperity” – what does it mean for credit investors?
Review/Outlook 1H 2021
Fisch Asset Management AG,
Our portfolio managers look back at the first half of 2021 and provide their current market assessments.
High yield bonds and inflation: Certainly not a deal-breaker
Read more High yield bonds and inflation: Certainly not a deal-breaker
Emerging Market Corporate Bonds: Review & Outlook Q1 2021
In our latest outlook, we explain why the core strengths of the EM corporate bond asset class – attractive risk compensation, strong fundamentals, relatively low duration – remain unchanged, if not strengthened, going into the second quarter of 2021.
Read more Emerging Market Corporate Bonds: Review & Outlook Q1 2021