TwentyFour

Why the macro outlook is tilted in fixed income’s favour
With elevated yields and inflation expected to come back to target, we think investors can target a level of real return that was extremely difficult to achieve in the previous cycle.
Conviction Equities Boutique

Empowering change: Impact Report 2024
Discover how our Impact Investing team navigates economic shifts and political uncertainty to help drive sustainable change. In our sixth annual Impact Report, we reveal our strategies, methodologies, and results in investing in low-carbon solutions and smart infrastructure.
Asset management

Achieving the right Fixed Income mix
Watch our livestream where Andrew Jackson, Head Fixed Income and Eoin Walsh, Partner & Portfolio Manager TwentyFour Asset Management delve into the current bond market landscape.
Quantitative Investments

From biological to artificial intelligence
Explore the fascinating parallels between biological intelligence and artificial neural networks. This article dives into how AI mimics the brain’s neuron structures to solve complex problems, revealing the power of neural networks and their potential to reshape our understanding of intelligence and decision-making.
TwentyFour

Back to Basics: Yield curves
George Curtis (Portfolio Management), from our Multi-Sector Bond team provided a comprehensive understanding of the key aspects of yield curves.
TwentyFour

Flash Fixed Income: What would Trump do to Treasuries?
In this inaugural edition of Flash Fixed Income, we look at the highly unpredictable US presidential election and explain why a potential second Trump administration could limit the Federal Reserve’s ability to deliver more rate cuts.
Quality Growth Boutique

Modern mining: Digging deep to find winners on the brink of a technological revolution
The mining industry is entering a green supercycle, driven by demand for metals and minerals needed for decarbonization. Despite increased competition and deeper mining, technological advancements are boosting productivity and reducing emissions. This presents compelling long-term investment opportunities in this evolving industry.
TwentyFour

Asset-backed finance: Hiding in plain sight
Over the past decade, private credit has grown from a $400bn niche industry into a $1.6tr market that competes with more traditional asset classes for significant investor allocations.
TwentyFour

Asset-Backed Securities Quarterly Update – October 2024
As the third quarter of 2024 comes to a close, TwentyFour Asset Management's Aza Teeuwen reflects on what this has meant for the Asset-Backed Securities (ABS) team. Not only were volumes across European ABS elevated throughout July and August, we also saw €34 billion in primary issuance – a significant increase from previous years.
TwentyFour

Investment Grade Quarterly Update – October 2024
Chris Bowie at TwentyFour Asset Management describes the third quarter of 2024 as a significant turning point in fixed income markets, marked by the Federal Reserve (Fed) cutting interest rates by 50 basis points (bps) for the first time in many years. This followed an earlier 25bp cut by the Bank of England (BoE), setting the scene for further rate cuts over the coming years.
TwentyFour

Multi-Sector Bond Quarterly Update – October 2024
George Curtis from the Multi-Sector Bond (MSB) team at TwentyFour Asset Management reflects on the third quarter of 2024 and its impact on credit and equity markets. Despite some mid-quarter volatility, overall performance remained strong, with government bonds leading the way.
TwentyFour

Can credit keep calm and carry on?
With cracks starting to show in the US economy, many are wondering whether tight corporate bond spreads leave investors vulnerable. But with corporate balance sheets holding firm and yields on higher quality bonds looking attractive, staying invested in credit should continue to reward investors.
Conviction Equities Boutique

Investing in EM equities in the digital age
Watch our livestream where Jean-Louis Nakamura, Head of Vontobel Conviction Equities, hosts a discussion between Viktor Shvets, Head of Global Desk Strategy at Macquarie and Anthony Corrigan, Client Portfolio Manager, about the role that emerging market (EM) equities play in today’s global equity portfolio and what key factors need to be considered when building a resilient EM equity portfolio.
Asset management

Transition finance: navigating complexity
Financing the energy transition is a complex task, fraught with diverse views on how to execute it credibly. In the FT Moral Money Forum, our co-CEO Christel Rendu de Lint explores the role investment firms can play in facilitating the shift to a low-carbon economy.
TwentyFour

Back to Basics: Significant risk transfer
Douglas Charleston (Partner, Co-Head of ABS) and Pauline Quirin (Portfolio Management), from our Asset-Backed securities team provided a comprehensive understanding of the key aspects and trends within the Significant Risk Transfer (SRT) market.
TwentyFour

The cutting cycle begins
Uncertainty is over, it was a 50 basis points (bps) move. As we mentioned in our previous blog, the most important take away from the Federal Open Market Committee (FOMC) meeting would be their assessment of the economy.
TwentyFour

Fed preview: Look beyond the size of the cut
While the majority of headlines have concerned whether the Fed will do 25bp or 50bp to kick off its cutting cycle, we think this is only one part of the discussion – and not necessarily the most important one.
Fixed Income Boutique

Fixed income steadies its footing
Find your footing amid ever-changing conditions with Vontobel’s new Fixed Income Quarterly. The launch edition finds our Fixed Income team feeling very balanced, very buoyant, and very bold. Read on to discover why.
TwentyFour

Positioning for late cycle as rate cuts begin
Eoin Walsh delivered the keynote address at TwentyFour Asset Management’s Annual Conference in London on September 10, 2024.
Quality Growth Boutique

Tapping into the power of AI stocks while mitigating risks
The forces driving today’s markets are making it especially hard for investors to find the right balance. How can investors tap into the burgeoning power of AI without taking too much risk? Learn how our Quality Growth team manages risk while maintaining a healthy equilibrium.
Quantitative Investments

Commodities reloaded
Learn more about the promising outlook for commodities in our latest Quanta Byte. We delve into historical trends, the U.S. shale boom, and emerging demand drivers for the asset class. Discover why investing in commodities could be a strategic move for attractive returns
TwentyFour

Powell’s Masterplan allows for earlier intervention
In his headlining speech at the Jackson Hole Economic Symposium, Federal Reserve (Fed) chair Jerome Powell’s message to the market was clear.
Quantitative Investments

Systematic investment approach update: August 2024
Watch and learn about the latest trends in Quantitative Investment’s systematic approach, in volatility, equities, fixed income and Fx
Quality Growth Boutique

View short-term, election-related volatility through a long-term lens
How do you manage the impact of market volatility driven by election outcomes? Matthew Benkendorf, CIO of our Quality Growth Boutique, shares ways to help mitigate risks and stay focused on business fundamentals that point to enduring quality.