Tapering, Tightening and Rising Rates Uncertainty

Global bond yields have risen notably over the last few weeks. The market is reacting to a hawkish shift in central bank communication, improving confidence in the growth outlook and signs of increased inflation pressure.

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Climate change transition risk impacts sovereign bond markets

The following article was published on Investor Daily on 12 October 2021. Click here to read the full research paper With ESG and climate change increasingly front of mind for global investors in all asset classes, a new study from UTS Sydney, Ardea Investment Management and Fortlake Asset Management drills down and challenges the argument that […]

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