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Fixed income
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Blog

Global Dynamic Bond: Navigating the current market cycle

Amid a backdrop of uncertainty and financial-market correction, where are the opportunities for fixed-income investors?

29 April 2025
Blog

Newton’s top 10 debates for 2025

We debate the most out-of-consensus viewpoints for 2025.

10 January 2025 Brock Campbell Newton secular research team
Blog

Fixed-income outlook 2025: Opportunity and uncertainty

We assess the global outlook for 2025 and uncover the key areas of opportunity for bond investors.

11 December 2024
Blog

UK election: What could it mean for bond markets?

We assess how the new UK government and its policy initiatives might affect UK finances and bond markets.

23 July 2024 Newton fixed income team
Blog

Inflation, debt and rates: The trinity defining markets

We assess the current and potential future impact of inflation, debt and interest rates upon markets.

12 June 2024 Newton fixed income team
Blog

Europe: Coming together again?

With an evolving macro and geopolitical backdrop driving changes within the eurozone, we consider the investment implications.

13 May 2024
Blog

Indonesian elections: Presiding over an emerging powerhouse

Against the backdrop of presidential and legislative elections, we assess the investment outlook for booming Indonesia.

15 February 2024 Newton fixed income team
Blog

Macro-geopolitical 2024 outlook: Pivotal election year ahead

With several key trends set to reach an important climax in 2024, we consider the investment implications.

06 December 2023 Newton fixed income team
Blog

Fixed-income outlook: Bonds beating cash

After two difficult years, we explain why we believe the prospects for bond investors are improving.

27 November 2023 Jon Day
Blog

Ukraine: war, peace and reconstruction

What recent events in Russia could mean for the Ukraine war and Europe’s mid-term inflation outlook.

31 July 2023 Newton fixed income team
Blog

First Republic demise a symptom of higher rates

Our thoughts on First Republic's collapse and what it means for the future of the banking sector.

09 May 2023 Michael Holton
Blog

SVB: Breaking the system?

Could we see further financial casualties this year?

20 March 2023 Paul Brain
Blog

Geopolitical outlook: how ‘great power competition’ will define 2023

How the theme of ‘great power competition’ could shape the macroeconomic backdrop in 2023 and beyond.

23 January 2023 Newton fixed income team
Blog

Global bond outlook: how far can the rally go?

How far can the bond rally go?

04 January 2023 Paul Brain
Blog

Are gilts still under pressure?

We assess the impact of the UK government’s Autumn Statement on the gilt market.

23 November 2022
Blog

Vladimir Putin: Mr three per cent?

We examine how the Russian leader’s actions have affected the market’s risk premium and what might happen next.

21 October 2022 Newton fixed income team
Blog

The power of divergence

We analyse how diverging economies can create opportunities for bond investors with a global mindset.

01 September 2022 Paul Brain
Blog

Evolution not revolution: how our macro themes evolve

How our macro-focused investment themes have evolved to deal with a changing geopolitical and economic backdrop.

04 August 2022 Paul Brain
Blog

Diverging fortunes: unearthing US bond opportunities

We examine how the theme of divergence is creating opportunities for global bond investors in the US market.

07 June 2022 Paul Brain
Blog

Russian bear, Chinese dragon: feasting on honey or playing with fire?

As conflict continues in Ukraine, we assess the potential investment implications arising from evolving Sino-Russian relations.

08 April 2022 Newton fixed income team
Blog

Russian bear out in the cold

We assess the possible investment implications of Russia’s invasion of Ukraine.

25 February 2022 Newton fixed income team
Blog

On the rise…

We assess what the Fed’s latest monetary-policy signalling could mean for bond markets.

28 January 2022 Paul Brain
Blog

Inflation: stick or twist?

We assess central banks’ latest strategies on interest rates as near-term inflation continues to rise.

29 November 2021 Paul Brain
Blog

Remember, remember, the fourth of November

We assess the impact of a potential rate rise by the Bank of England next week.

29 October 2021
Blog

Time for taper tantrum II?

We assess the mood in bond markets as central banks once again start to focus on tapering quantitative-easing…

17 September 2021 Paul Brain
Blog

Looking through the pandemic: The shape of the recovery

We assess some potential consequences of the pandemic, and how they may play out in the global economy.

11 May 2020 Paul Brain
Blog

Save and prosper?

How the pandemic and rescue packages are changing both corporate behaviour and the dynamics of fixed-income markets.

20 April 2020 Paul Brain
Blog

Covid-19: UK bond market impact

We analyse the impact of the UK government’s financial rescue package on bond markets

18 March 2020
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