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Fixed Income
Our latest views on the factors influencing global bond markets.
Gilt trip: Lessons for institutional credit investors from a UK liquidity crisis
- by Lionel Pernias
- 24 October 2022 (7 min read)
The unwind of the UK’s Corporate Bond Purchase Scheme: A potential liquidity opportunity for DB pension schemes
- by Rob Price
- 08 September 2022 (3 min read)
What the second half of 2022 has in store for markets, inflation and high yield bonds
- by
- 18 July 2022 (10 min read)
Reaching the peak: How investors can navigate the path ahead for inflation
- by
- 18 July 2022 (7 min read)
Investing and volatility: Political risk in perspective
- by Chris Iggo
- 06 April 2022 (5 min read)
Inflation was already hot, but the Ukraine war risks making it more durable
- by
- 05 April 2022 (3 min read)
How an ESG focus impacted fixed income returns in 2021
- by
- 14 February 2022 (5 min read)
China investment outlook – what next for the world’s second-largest economy?
- by
- 28 September 2021 (7 min read)
Disclaimer
This document is for informational purposes only and does not constitute investment research or financial analysis relating to transactions in financial instruments as per MIF Directive (2014/65/EU), nor does it constitute on the part of AXA Investment Managers or its affiliated companies an offer to buy or sell any investments, products or services, and should not be considered as solicitation or investment, legal or tax advice, a recommendation for an investment strategy or a personalized recommendation to buy or sell securities. It has been established on the basis of data, projections, forecasts, anticipations and hypothesis which are subjective. Its analysis and conclusions are the expression of an opinion, based on available data at a specific date. All information in this document is established on data made public by official providers of economic and market statistics. AXA Investment Managers disclaims any and all liability relating to a decision based on or for reliance on this document. All exhibits included in this document, unless stated otherwise, are as of the publication date of this document. Furthermore, due to the subjective nature of these opinions and analysis, these data, projections, forecasts, anticipations, hypothesis, etc. are not necessary used or followed by AXA IM’s portfolio management teams or its affiliates, who may act based on their own opinions. Any reproduction of this information, in whole or in part is, unless otherwise authorised by AXA IM, prohibited.
Risk Warning
The value of investments, and the income from them, can fall as well as rise and investors may not get back the amount originally invested.