
Fixed Income Insights
Insights to help you stay ahead in bond investing
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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.
Perspectives on securitized credit
2024 Q4: Securitized credit market performance remained solid in the fourth quarter amid heavy supply.
Ahead of the Curve: How U.S. immigration changes could impact inflation and the Fed
Explore how immigration changes may influence inflation and Fed policy.
How high could the 10-year U.S Treasury yield go?
U.S. Treasury yields have been climbing despite continued rate cuts from the Federal Reserve.
Looking for income in 2025? These bond solutions could help
Four bond approaches to help meet different investor needs.
Ahead of the Curve: Consensus is totally consensus—a contrarian’s strategic scenarios
Discover contrarian strategies that active fixed income managers can apply.
Ahead of the Curve: The calm before the storm — The outlook for Treasury yields
Expect higher Treasury yields as fiscal policies evolve.
A deeper look at flexible credit strategies and the critical role of manager selection
Multi-asset credit strategies leverage flexibility to different degrees. Learn how that affects results and risk management.

T. Rowe Price Global Impact Credit and Global Impact Equity funds secure SDR label
T. Rowe Price Gains SDR Sustainability Impact Label for Global Impact Funds
Perspectives on securitized credit
Securitized credit market performance remained solid in the third quarter amid heavy supply.
Finding income in high yield bonds, bank loans, and emerging markets
The non-investment-grade sectors of the bond market look the most attractive.
Why it’s time to consider moving out of cash and into fixed income
Income and growth attributes support the case for redeploying cash into bond markets.
Fed’s focus on jobs is leading to bond market normalization
There are signs that the negative correlation between Treasuries and risk assets is returning.
Ahead of the Curve: Could a 5% 10-year Treasury yield be around the corner?
Higher Treasury yields expected due to fiscal spending and Fed quantitative tightening.
AI and fixed income: Booming demand for data center ABS and CMBS
Artificial intelligence drives demand for data center ABS and CMBS investments.
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