
Fixed Income Insights
Insights to help you stay ahead in bond investing
Browse our latest insights
A new era of global high yield: Stronger, larger, and more diverse
An allocation offers investors a potential source of attractive risk-adjusted income.
Does the “One Big Beautiful Bill” = big beautiful profits?
Using the Kalecki-Levy framework to understand the profit implications.
How will the boom in U.S. government debt supply affect markets?
U.S. Treasury debt issuance changes will shift market dynamics.

A shifting macro regime is testing the traditional role of government bonds
Investing in emerging markets debt
There are a number of ways to invest in emerging markets debt.
Should we be more worried about U.S. growth or inflation? Or neither?
Explore U.S. economic trends: growth uncertainty and rising inflation risks
How our sustainable bond framework can drive real impact
Our model helps to evaluate impact bonds and the additionality of the projects they finance.
U.S. dollar negatives to take precedence in longer run
Explore the evolving dynamics impacting the U.S. dollar's future.
Perspectives on securitized credit
Securitized credit markets posted relatively resilient performance in the first quarter of 2025.
How to effectively manage interest rate risk in today’s world
With volatility likely to persist, an active approach remains critical.
Tariffs add to a toxic combination for U.S. Treasuries
Explore the impact of tariffs on inflation and U.S. Treasury yields.
Three reasons to consider T. Rowe Price Diversified Income Bond Strategy
Seeks to provide high yield‑like returns with investment‑grade levels of risk.
Charting progress: As bond issuance climbs, what’s next for the blue economy?
While blue bonds are still a relatively nascent type of sustainable debt, the market is evolving.
The power of a global multi-sector bond solution in today’s markets
The ability to invest in multiple sectors offers potential income and diversification opportunities.

US High Yield Bond Strategy

Global Multi-Sector Bond Strategy
A contrarian scenario comes true on remarkable German fiscal push
Germany’s fiscal expansion reshapes global bond markets.
Uncertainty heightens the need for active fixed income management
Explore how active bond management can thrive in the new investing paradigm of higher inflation and volatilty.
Why fixed income is attractive for investors moving out of cash
Elevated bond yields offer an appealing opportunity to lock in income.
How wildfires highlight the links between marine and terrestrial ecosystems
Wildfires’ impacts stretch beyond land to the oceans—posing a threat to the blue economy.
"Uneasy equilibrium” creates an opportunity in global fixed income
With the U.S. economy in an uneasy equilibrium, global fixed income offers appealing opportunities.
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