TwentyFour Asset Management Multi-Sector Bond Quarterly Update – April 2023 Charlene Malik Portfolio Management Meet Charlene Market Update | Watch | 4 min Apr 20 2023 Following a busy quarter in bond markets, Portfolio Manager Charlene Malik reflects on macro events and discusses how our Multi-Sector Bond team have responded. Charlene Malik Portfolio Management Meet Charlene Share: Topics: Banks Europe Fixed Income Market Update Multi-Sector Bonds TwentyFour Asset Management UK US Most read: From FOMO to fundamentals: The next step for Chinese equitiesReady for takeoff? Are corporate bonds set for a smooth climb?Investors’ Outlook: Is the wait for Godot over soon? Read next: Three tips for bond issuers on ESG data Viewpoint | Read | 5 min Sep 09 2021 Multi-Sector Our Multi-Sector team aim to provide an attractive level of income and an opportunity for capital growth throughout the economic cycle. Read more
Following a busy quarter in bond markets, Portfolio Manager Charlene Malik reflects on macro events and discusses how our Multi-Sector Bond team have responded.
Multi-Sector Our Multi-Sector team aim to provide an attractive level of income and an opportunity for capital growth throughout the economic cycle. Read more
TwentyFour Asset Management Viewpoint | Read | 5 min Sep 09 2021 Three tips for bond issuers on ESG data TwentyFour Asset Management’s portfolio management team offer bond issuers three tips on improving their ESG data disclosure, and explain why companies shouldn’t attempt to fool them. Read more
TwentyFour Asset Management Viewpoint | Read | 8 min Mar 10 2022 Where do fixed income investors go from here? Global bond markets have moved sharply in the wake of Russia’s invasion of Ukraine as investors have tried to assess the impact of an unprecedented raft of financial and economic sanctions. Read more
TwentyFour Asset Management Event Replay | Watch | 41 min Feb 09 2022 TwentyFour Q1 2022 Investor Update For our Q1 fixed income event, Mark Holman, portfolio manager at Vontobel boutique TwentyFour Asset Management, provided an update on the firm’s flagship, global unconstrained strategy, the Vontobel Fund – TwentyFour Strategic Income Fund. Watch now
TwentyFour Asset Management Viewpoint | Read | 4 min Mar 13 2020 Bond market update from the Strategic Income team Global financial markets have been rocked by the COVID-19 pandemic, with US stocks entering a bear market, government bond yields hitting record lows and credit spreads gapping wider. Mark Holman lays out three possible scenarios for the kind of recession we are heading for, and how markets might respond from here. Read more
TwentyFour Asset Management TwentyFour Blog | Read | 3 min Nov 21 2019 Younited performance shows risks in Fintech ABS "Younited’s funding strategy is as innovative as its business model... In May this year, the company successfully issued its first #ABS backed by French consumer loans" TwentyFour's Ben Hayward discusses. Read more
TwentyFour Asset Management Viewpoint | Read | 7 min Sep 09 2021 ESG: What makes 34…our chosen score In recent months and years we have seen remarkable growth in the number of ESG-focused or sustainable investment strategies being offered by asset managers, a trend that first emerged in the equity market but is now making itself felt in the world of fixed income. Read more