Credit 2026 Outlook: Build up your core strength and stay flexible 

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After a strong run for global credit markets in 2025, investors heading into 2026 face a more complex and selective environment.  Credit markets delivered robust total returns last year, supported

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Credit Chronicle: More of the same precedes a post-liberation day repricing in credit markets

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Credit markets continued to be characterised by a tug-of-war between attractive all-in yields and historically tight spreads in Q1. But Trump’s tariff announcements have driven spreads wider. Caution and a

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Picture this: dislocation and distress in high-yield debt

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Ninety One’s Multi-Asset Credit team explains that historically expensive valuations coupled with elevated levels of distress mean the high-yield corporate debt market is an unattractive destination today. The team believes investors

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Picture this: a broader horizon brings better value

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Ninety One’s Multi-Asset Credit team explains that a preference for quality has seen many high-yield investors flock to a part of the credit market that currently offers poor value. Those with

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