TwentyFour
US debt - stuck in a vicious cycle
In recent weeks the US debt ceiling has been dominating headlines with investors focused on the imminent threat of a US default which would be extremely unnerving for global markets. We look at the wider implications facing the US economy.
Quality Growth Boutique
International Equities: A compelling growth story unfolds
Multinationals listed in the US can provide exposure to global revenues. But an international approach also offers access to world leading companies that have no equivalent in domestic markets. And with valuations at a wide discount to the US, and below long-run averages, the story in international equities is both timely and compelling.
Fixed Income Boutique
Hunting alpha in China's real estate bond jungle
Is China’s property market on the mend? Are there any more humps in the road before it turns the corner? Our emerging markets credit specialists Cosmo Zhang and Wouter van Overfelt explain how contrarian investors who may have missed the strong rebound in December can now spot potential opportunities for generating alpha.
Quality Growth Boutique
Measured growth wins races: compounding capital in tougher conditions
Low interest rates, declining tax rates, and constrained wages contributed to margin expansion for large US companies over the past decade. Companies whose growth is driven by these temporary factors may be more vulnerable in tough conditions, while quality companies with structural growth drivers designed to succeed in all conditions may prevail.
Fixed Income Boutique
Emerging Market Bonds - First quarter 2023 review and outlook
Wouter Van Overfelt, Head of Emerging Market Corporates and Luc D’hooge, Head of Emerging Markets Bonds, provide a review on the developments in the first quarter, the current positioning of the strategies as well as an outlook for the remainder of 2023.
TwentyFour
European banks continue to deliver, on earnings and calls
As earnings season kicks off in Europe, Eoin Walsh looks at what impact, if any, recent volatility in the banking sector has had on European banks.
Fixed Income Boutique
Ready for takeoff? Are corporate bonds set for a smooth climb?
After the “great repricing” of 2022, is corporate credit now ready for takeoff? Our corporate credit experts, Mondher Bettaieb Loriot and Christian Hantel, analyze the reasons behind the revival of high-grade corporate credit and explain why they remain optimistic about investment-grade markets in Europe and the US.
TwentyFour
Short Term Bond Quarterly Update – April 2023
Partner and Portfolio Manager Chris Bowie discusses recent Q1 events and gives an outlook for Investment Grade for the next quarter.
TwentyFour
Fixed Income 101: Roll-down
Roll-down is the capital gain created by the natural fall in a bond’s yield as it approaches maturity. As a fixed income investor, it is probably the most you will ever get paid for doing nothing.
TwentyFour
European Banking crisis fears overdone?
With headlines suggesting that deposit outflows in the banking sector are causing concern, Felipe Villarroel looks at the data which suggests that European banks remain resilient.
Asset management
Knowing your supply chain is crucial for investing in a new era
For a single company, supply chain oversight can be complex. For professional investors with multiple companies in their investment portfolios, this task can become massive. Complexity, however, is not something to hide behind.
TwentyFour
What is in the price of AT1s after the sell off?
After a volatile few days in bank capital, Felipe Villarroel looks at how AT1s are pricing after the sell off.
TwentyFour
Why short dated IG is the “best game in town” for 2023
2022 was the worst year for bonds in living memory. So, could 2023 be similarly bad for other asset classes? Chris Bowie looks at the case for short dated investment grade credit for 2023.
TwentyFour
Spotlight on Banks – March 2023
Given the recent headlines surrounding Credit Suisse and the decision from FINMA, the Swiss regulator, to write down CHF16 billion of Credit Suisse’s Additional Tier 1 debt to zero, we hosted a webinar looking at the possible wider implications of this write-down and what it could mean for fixed income investors.
TwentyFour
Rules of the game - from Swiss finish to finished
Swiss regulators' decision to bail out Credit Suisse equity holders while wiping out AT1 debtholders will see long-term effects on bank debt markets and likely legal action says Eoin Walsh
TwentyFour
Credit Suisse - In the eye of the storm
Partner Eoin Walsh explores what the potential outcome of regulatory intervention for Credit Suisse could mean as negative headlines persist for the bank.
Multi Asset Boutique
Central bank tightening begins to claim its first victims: isolated case or systemic risk?
With the collapse of Silicon Valley Bank dominating media headlines and fueling questions among investors, Mario Montagnani explains why our Multi Asset Boutique believes it is a company-specific, isolated case.
TwentyFour
Idiosyncratic or wider bank issue?
Deposit outflows at Silicon Valley Bank raise concerns over lending quality and mark-to-market losses, but is this a wider issue for the global banking sector?
TwentyFour
Spotlight on CLOs - March 2023
European ABS proved to be a valuable allocation for fixed income investors last year and we think the asset class looks to be even stronger in 2023, with rates and spreads combining to create an attractive income landscape.
TwentyFour
Are markets finally following the Fed?
With 2023’s rally halted by the Fed’s hawkish messaging, Felipe Villarroel questions whether markets read the recent jobs data correctly and looks at what it means for terminal rate expectations.
Quality Growth Boutique
ESG at Vontobel Quality Growth: A common sense approach
ESG research is an extension of our philosophy of long-term thinking and fits seamlessly into our existing research process. We focus on material issues rather than broad ESG scores, which enables us to understand and get ahead of risks that can jeopardize earnings predictability.
Conviction Equities Boutique
Emerging market equities: What follows the lost decade?
When comparing the earnings trajectory of emerging markets corporates with that of their developed-market counterparts, many investors consider this a lost decade. Are emerging market stocks now set to bounce back?
Quality Growth Boutique
Unions 101: A review of current labor risks
What’s behind the demands for unions globally? When are higher wages a threat to the bottom line? And which companies are best placed to manage the risk? In his back-to-basics blog on organized labor, Sudhir Roc-Sennett answers these critical questions for investors.
Fixed Income Boutique
Emerging Market Bonds - Review 2022 and Outlook 2023
Luc D’hooge, Head of Emerging Markets Bonds and Wouter Van Overfelt, Head of Emerging Market Corporates, provide a review on the developments in 2022, the current positioning of the strategies as well as an outlook for 2023.