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March 2024 / GLOBAL FIXED INCOME
I think core inflation will reaccelerate after falling to around 2%
By Arif Husain
Arif Husain Head of Fixed Income and Chief Investment Officer, Fixed Income
March 2024 / INVESTMENT INSIGHTS
The Dynamic Global Bond Strategy celebrates its 10-year anniversary this month since...
By Scott Solomon & Quentin Fitzsimmons
March 2024 / EQUITY
NPC announcements in line with expectations.
By Robert Secker
Robert Secker Portfolio Specialist, Equity Investment Specialists
March 2024 / VIDEO
By Samuel P. Ruiz
Samuel P. Ruiz Portfolio Specialist
Reasons why investors should embrace AI as a long-term investment theme.
By Rahul Ghosh
Rahul Ghosh Portfolio Specialist Global Equity
March 2024 / MULTI-ASSET INSIGHTS
Private assets can enhance multi-asset portfolios. However, careful risk analysis...
By Robert Panariello, Som Priestley & Fahad Siddiqui
March 2024 / GLOBAL EQUITIES
What next for global equities
Rahul Ghosh Portfolio Specialist, Global Equity Strategies
February 2024 / INVESTMENT INSIGHTS
Today’s yields have rarely been observed over the last ten years
By Michael Della Vedova & Joran Laird
26 February 2024 / INVESTMENT INSIGHTS
Conditions are ripe for a moderate growth recovery, but political risks pose a threat
By Nikolaj Schmidt
Nikolaj Schmidt Chief International Economist
The large number of priced-in 2024 rate cuts is an average of expectations across...
With cooling expectations, investors wonder when and how far U.S. rates will fall...
By Tim Murray
Tim Murray Capital Markets Strategist Multi-Asset Division
Inflation continues to fall, paving the way for more interest rate cuts from emerging...
By Chris Kushlis
Chris Kushlis Chief of China and Emerging Markets Macro Strategy
February 2024 / GLOBAL EQUITIES
GLP-1 treatments are poised to reshape the health care sector
By Nabil Hanano & Jeffrey Holford
February 2024 / VIDEO
Emerging markets are poised for a year of interest rate cuts in 2024.
Chris Kushlis Chief Emerging Markets Macro Strategy
January 2024 / INVESTMENT INSIGHTS
Arif Husain Head of International Fixed Income and Chief Investment Officer, Fixed Income
We explore three possible scenarios as US interest rates peak
By Christina Noonan, CFA, Som Priestley & Doug Spratley
January 2024 / VIDEO
The Magnificent 7 significantly outpaced other stocks in 2023, Sam Ruiz, Equity Portfolio...
Sentiment toward China is weak, but opportunities exist for investors who seek them
By Justin Thomson
Justin Thomson Chief Investment Officer International Equity
Historical performance of federal funds interest rate cycle peaks could help investors...
By Terry Davis & Andrew Wick
Will small-caps eventually “show up” for investors?
By Sebastien Page
Sebastien Page Head of Global Multi-Asset and CIO
A focus on bond yields, the Magnificent 7, and the Fed pivot
Tim Murray Capital Markets Strategist, Multi-Asset Division
January 2024 / GLOBAL MARKET OUTLOOK
2024 Global Market Outlook Infographic
December 2023 / WEBINAR
Recession risk. Tightening credit. Mixed economic signals.
By Arif Husain, Sebastien Page & Justin Thomson
December 2023 / GLOBAL MARKET OUTLOOK
By Wenli Zheng
Wenli Zheng Portfolio Manager, China Evolution Equity Strategy
By Randal Jenneke
Randal Jenneke Head of Australian Equity at T. Rowe Price
Tectonic shifts create new opportunities
By Tomasz Wieladek
Tomasz Wieladek T.Rowe Price Chief European Economist
December 2023 / VIDEO
By Ritu Vohora
Ritu Vohora Investment Specialist, Capital Markets
AI has the potential to be the biggest productivity enhancer to the global economy...
By Dom Rizzo
Dom Rizzo Portfolio Manager, Global Technology Equity
December 2023 / INVESTMENT INSIGHTS
Blue bonds provide financing for ocean-friendly or clean water projects in support...
By Matt Lawton & Tongai Kunorubwe
November 2023 / INVESTMENT INSIGHTS
Optimizing with an added ESG risk constraint.
By Wenting Shen & Nathan Wang
Addressing the challenge of integrating climate change dynamics into investment decision-m...
By Maria Elena Drew
Maria Elena Drew Director of Research, Responsible Investing, TRPA
November 2023 / GLOBAL FIXED INCOME
A framework can be useful for evaluating whether U.S. Treasury yields have peaked.
By Scott Solomon
Scott Solomon Portfolio Manager
Transformations have bolstered high yield for a modest downturn.
By Paul Massaro, Rodney Rayburn & Jason Bauer
November 2023 / INTEGRATED EQUITY
Understanding Market Dynamics Better With Thematic Baskets
By T. Rowe Price Integrated Equity Team
T. Rowe Price Integrated Equity Team
October 2023 / MULTI-ASSET INSIGHTS
A new market regime isn’t necessarily a reason to be bearish.
Sebastien Page Head of Global Multi-Asset
October 2023 / VIDEO
October 2023 / IMPACT INVESTING
By Hari Balkrishna
Hari Balkrishna Portfolio Manager, Global Impact Equity Strategy
Our credit analysts collaborate to help obtain a fuller picture of the credit environment...
By Justin Gerbereux, Elliot Shue, CFA & Mike Hyland
October 2023 / INVESTMENT INSIGHTS
Improved credit quality and attractive yields support the asset class.
By Jason Bauer, Paul Massaro & Rodney Rayburn
Timothy C. Murray, Capital Markets Strategist
Tim Murray Capital Markets Strategist
October 2023 / ECONOMICS
Amid near-term pressures, secular drivers will likely remain intact.
By Shinwoo Kim & Jackie Fortner
October 2023 / MULTI-ASSET
An uptick in some prices could mean higher rates for longer
Consumer fundamentals seem to be weakening from a strong position
By Blerina Uruçi
Blerina Uruçi US Economist
October 2023 / GLOBAL FIXED INCOME
A flood of new global sovereign debt will affect market dynamics.
Arif Husain Head of Global Fixed Income and CIO
Central banks will likely ease sooner than expected
October 2023 / ENVIRONMENTAL, SOCIAL, AND GOVERNANCE
Addressing the challenge of integrating biodiversity into investment analysis
By Tongai Kunorubwe
Tongai Kunorubwe TRPA Head of ESG, Fixed Income
Energy transition has broad economic, political, and investment implications
Maria Elena Drew Director of Research, Responsible Investing, T. Rowe Price Associates, Inc.
September 2023 / U.S. FIXED INCOME
Hybrid characteristics provide attractive risk/reward profile.
By Kevin Loome & Ashley Wiersma
September 2023 / ECONOMICS
Theatrics aside, a budget agreement seems likely in the near term.
By Gilad Fortgang
Gilad Fortgang Washington Associate Analyst, US Equity Division
September 2023 / MARKETS & ECONOMY
They may not fully understand its impact.
Tomasz Wieladek Chief European Economist
September 2023 / IMPACT INVESTING
September 2023 / GLOBAL FIXED INCOME
The consensus view shift toward a mild downturn looks misplaced.
September 2023 / INVESTMENT INSIGHTS
Central banks set to kick off easing cycles as inflation cools.
September 2023 / VIDEO
Driving deliberate innovation with artificial intelligence tools to boost human decision-m...
By Robert W. Sharps
Robert W. Sharps Chief Executive Officer and President
Rate volatility is likely to persist as Fed pursues 2% inflation target
By Christina Noonan, CFA
Christina Noonan, CFA Associate Portfolio Manager, Multi‑Asset Division
September 2023 / MARKET EVENTS
Regulatory changes will do little to solve higher cost of funding.
By Matt Snowling & Pranay Subedi
September 2023 / U.S. GOVERNMENT POLICY
Competition with China and consumer safety are key themes.
Gilad Fortgang Washington Associate Analyst, U.S. Equity Division
As AI automates more processes, the volume, variety, and speed of data should increase....
By Sam Johnson
Sam Johnson Infrastructure Software Analyst, U.S. Equity Division
August 2023 / FIXED INCOME
Despite weakness, China’s core financial system seems insulated.
By Samy Muaddi, Chris Kushlis & Michael Summers
August 2023 / ESG
It could rival the Industrial Revolution in scale.
By Justin Thomson & Christopher Vost, CFA
Key trends in T. Rowe Price Investment Management’s proxy voting activity over the...
By Christopher Whitehouse
Christopher Whitehouse Head of ESG, T. Rowe Price Investment Management
August 2023 / MARKETS & ECONOMY
Property sector weakness weighing on confidence.
Key trends in T. Rowe Price’s proxy voting activity over the past year.
By Donna Anderson & Jocelyn Brown
August 2023 / MULTI-ASSET
Understanding the drivers of domestic and global inflation.
By Multiple Authors
August 2023 / VIDEO
Attractive valuations and improving fundamentals may boost commodities.
High yield bonds paired with long-term Treasuries offer attractive carry.
Sebastien Page Head of Global Multi-Asset and Chief Investment Officer
A new era of Gulf aid could emerge—which countries could potentially benefit, and...
By Razan Nasser
Razan Nasser Sovereign Research Analyst, Fixed Income
August 2023 / ASSET ALLOCATION
Tim Murray Capital Markets Strategist Multi‑Asset Division
August 2023 / GLOBAL EQUITIES
Managing Investment Risks in a Historically Concentrated Market
By T. Rowe Price
July 2023 / GLOBAL FIXED INCOME
Portfolio managers collaborate to help shape duration positioning
July 2023 / VIDEO
July 2023 / INVESTMENT INSIGHTS
Lessons from the Global Financial Crisis have left a stronger banking sector in Europe,...
By Rob Thomas
Rob Thomas Credit Analyst
The magnificent seven continue to drive markets
July 2023 / IMPACT INVESTING
Using measurement and engagement to tackle ESG fractures head-on
What to expect as monetary policy tightening moves closer to ending.
Five forces defining the equity cycle.
By Scott Berg
Scott Berg Portfolio Manager, Global Growth Equity Strategy
July 2023 / ASSET ALLOCATION VIEWPOINT
Earnings outlook for U.S. companies is trending positive.
Tim Murray Capital Markets Strategist, Multi‑Asset Division
Hawkish stances risk overtightening and causing recession.
June 2023 / MARKETS & ECONOMY
Sticky inflation and further rate hikes reduce soft landing odds.
Blerina Uruçi Chief U.S. Economist
The US and UK face a tougher challenge than the Nordics and eurozone
By Tomasz Wieladek & Aadish Kumar
June 2023 / INVESTMENT INSIGHTS
Are we heading for a “decade of the incumbent”?
By John Linehan
John Linehan Chief Investment Officer, U.S. Equities
June 2023 / U.S. GOVERNMENT POLICY
Here's what it could mean for the economy, industry, and policy.
By Michael Pinkerton
Michael Pinkerton Associate Analyst
June 2023 / MIDYEAR MARKET OUTLOOK
Macro risks have risen, but the outlook for Japan appears bright.
By Archibald Ciganer
Archibald Ciganer Portfolio Manager
June 2023 / VIDEO
We believe high yield bonds offer an attractive risk/reward trade-off in the current...
Tim Murray Capital Markets Analyst
Waiting for the earnings shoe to drop.
Randal Jenneke Head of Australian Equities
June 2023 / WEBINAR
Distinguishing signal from noise amidst chaotic market fluctuations will be especially...
June 2023 / GLOBAL FIXED INCOME
Opportunities to generate value amid volatility.
By Michael Della Vedova
Michael Della Vedova Co‑portfolio Manager, Global High Income Bond Strategy
A more broad-based recovery after initial reopening, though some bumpiness is expected.
By Jacqueline Liu
Jacqueline Liu Portfolio Manager, China Growth Opportunities Equity Strategy
June 2023 / GLOBAL EQUITIES
Looking beyond the hype to see opportunities in builders and toolmakers
2023 Midyear Market Outlook - Theme one
2023 Midyear Market Outlook - Theme two
2023 Midyear Market Outlook - Theme three
May 2023 / INVESTMENT INSIGHTS
High yield bonds could offer an attractive risk/reward trade-off
May 2023 / VIDEO
Industrials are sensitive to the business cycle, but supportive government policies...
By Melanie Rizzo, CFA
Melanie Rizzo, CFA Industrials Analyst, U.S. Equity Division
We’ll need to see more evidence of a deceleration in services inflation to be confident...
But cash squeeze may force the Fed to halt quantitative tightening.
By Adam Marden & Pranay Subedi
May 2023 / GLOBAL IMPACT
As the “x-date” approaches, our portfolio managers and experts are closely monitoring...
Rates offer alpha opportunities, dollar at risk of depreciation.
By Arif Husain, Scott Solomon & Quentin Fitzsimmons
May 2023 / ASSET ALLOCATION
The U.S. labor market faces headwinds amid tighter credit conditions for small businesses...
With volatility likely to persist, an active approach remains critical
By Amanda Stitt
Amanda Stitt Portfolio Specialist, Fixed Income
Emerging signs of weakness could be headwinds for jobs.
May 2023 / FIXED INCOME
We expect a relatively mild U.S. recession, not a steep downturn
By Andrew McCormick
Andrew McCormick Head of Fixed Income
May 2023 / BLOG
Competition between these powers creates risk and opportunity
Michael Pinkerton Washington Associate Analyst, U.S. Equity Division
April 2023 / VIDEO
Many businesses in the health care sector can consistently grow revenue and earnings,...
By Mitchell Unger
Mitchell Unger Credit Analyst, Health Care Sector
By Peter Bates
Peter Bates Portfolio Manager
April 2023 / GLOBAL FIXED INCOME
Credit Suisse write-down does not spell the end of this market.
By Rob Thomas & Bineesha Wickremarachchi
April 2023 / INVESTMENT INSIGHTS
Pursuing social and environmental impact alongside financial returns
By Hari Balkrishna, Matt Lawton & David Rowlett
Calming banking jitters amid high inflation and slowing growth
An introduction to high yield investing (webinar replay)
Michael Della Vedova Portfolio Manager
April 2023 / ESG
I want the new Impact newsletter and Global Impact Client Engagement Toolkit, and...
March 2023 / INVESTMENT INSIGHTS
November 2023 / MULTI-ASSET INSIGHTS
Summary for the week ending on Friday, 17 November 2023
Positioning across the style spectrum with a focus on individual stock picking.
Peter Bates Portfolio Manager, Global Select Equity Strategy
March 2023 / MARKETS & ECONOMY
Brisk reopening brings quicker consumption response.
By Carolyn Chu & Chris Kushlis
March 2023 / VIDEO
Global Markets React to US Bank Crisis
Samuel P. Ruiz Equity Portfolio Specialist
Role for investment industry in creating innovative financing solutions
By Tongai Kunorubwe & Penny Avraam
My views on the economic and market implications of the banking turmoil
Sebastien Page Head of Multi‑Asset and Chief Investment Officer
Five bond strategies to help investors navigate evolving markets.
The recent failures of two regional banks stemmed from different causes than the...
By Christopher T. Fortune, Joseph Mlinac & Stephon Jackson
Heightened liquidity constraints and disruption require deft investing touch
By Matt Snowling & David DiPietro
Positive economic news in the near term could mean a more hawkish Fed, which would...
March 2023 / ASSET ALLOCATION VIEWPOINT
Near-term tailwinds could favor international markets
Growth accelerated in late 2022, and data released so far in 2023 solidify the case...
February 2023 / INVESTMENT INSIGHTS
With environmental and social proposals in the spotlight, case-by-case insights were...
Portfolio Manager, Global Select Equity Strategy
February 2023 / VIDEO
An incredible January for global equities but further volatility expected
February 2023 / FIXED INCOME
Ongoing war continues to reverberate through the economy and energy markets.
By Razan Nasser & Peter Botoucharov
The impasse over raising the debt ceiling may roil markets
Next winter is where the real challenge lies.
Justin Thomson Chief Investment Officer, International Equity
February 2023 / ENVIRONMENTAL, SOCIAL, AND GOVERNANCE
ESG integration can be an essential component to unlocking value.
By Véronique Chapplow, Sebastien Mallet & Ernest Yeung
Insights from the Multi-Asset engine room.
Will earnings be the dominant driver for Australian Equities in 2023?
Other risks will likely weigh on the Continent later this year.
February 2023 / ASSET ALLOCATION VIEWPOINT
U.S. equities trailed the rest of the world in 2022, and near-term tailwinds could...
February 2023 / GLOBAL EQUITIES
Disinflationary forces point to a more benign environment.
By Laurence Taylor
Laurence Taylor Portfolio Specialist, Global Equities
February 2023 / MARKETS & ECONOMY
After a closer look at the emerging markets banking sector, we’ve concluded the success...
By Mariel Abreu
Mariel Abreu Credit Analyst, Emerging Markets Corporate Debt
The Russia/Ukraine war and the recent energy supply squeeze have brought into sharp...
Maria Elena Drew Director of Research, Responsible Investing
January 2023 / INVESTMENT INSIGHTS
Uncertainty persists, but yield is back and fundamentals matter.
Active approach allows security selection and nimble positioning.
In China, change is the only constant.
By Thomas Poullaouec, Robert Secker & Nathan Wang
The European Central Bank may have to cease hiking earlier than planned.
January 2023 / VIDEO
The Fed is determined to fight inflation and yield is back, but socially oriented...
Our analysis shows the U.S. dollar is at risk of weakening.