CPD: Seeking stability

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At a time of sweeping geopolitical change and clear challenges for riskier assets, bond markets offer a source of stability. Key takeaways The world has entered a period of geopolitical... Read more continue reading

Tariffs and turbulence: What it means for your investments

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The global investment landscape has taken a sharp and unexpected turn following the recent announcement of sweeping U.S. tariffs—changes that were both faster and more extensive than markets anticipated. As... Read more continue reading

Guardian and Janus Henderson announce multifaceted, strategic partnership

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The Guardian Life Insurance Company of America® (“Guardian”), one of America’s largest life insurers and a leading provider of employee benefits, and Janus Henderson Group plc (NYSE: JHG; “Janus Henderson”),... Read more continue reading

Australian stock market seen as safe haven in volatile global markets

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As global markets remain gripped by volatility, the Australian equity market is proving to be relatively resilient. According to Emanuel Datt, Chief Investment Officer of Datt Capital, a combination of... Read more continue reading

Investors maintain strong inflows into ASX ETFs in Q1 2025 despite increased market volatility

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Key highlights: Total inflows into ASX ETFs over the March quarter top $11.0 billion, the Australian industry’s second-highest quarterly inflows since the record $12.7 billion invested into ASX ETFs during... Read more continue reading

U Ethical leads push for climate accountability in fossil fuel financing 

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U Ethical, an Australian not-for-profit ethical investment manager, has released its latest Climate Risk Report, highlighting that portfolio carbon intensity continues to be significantly lower than the benchmark and stepping up pressure on Australian banks... Read more continue reading

Uncertainty presents investor opportunities

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In its second 2025 investment outlook, the $263 billion* global asset manager American Century Investments offers guidance on navigating the policy and market uncertainty on tariffs, federal spending cuts, interest rates... Read more continue reading

Rising bond yields provide ‘golden’ fixed income opportunity as investors look for alternatives to hybrids

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As the Australian Prudential Regulation Authority (APRA) plans to phase out Australia’s $43 billion hybrids market over the next seven years, investment-grade credit and corporate bonds provide an attractive and... Read more continue reading

Liberation Day… or the start of recession

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Employing hard negotiation tactics means starting with extreme demands before following up with only small, slow concessions. Negotiations may have the appearance of ‘take it or leave it’ or might... Read more continue reading

Investment opportunities in European markets amid global economic challenges

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As the global economy grapples with high interest rates and around $100 trillion in global debt set for refinancing, European equites are more attractively priced compared to their United States... Read more continue reading