How can the U.S. not be considered the first destination of global capital in search of safe (although historically low) returns? Easy answer: It will not be if we continue down the current road and don't address our “fiscal gap.”
Saumil Parikh, a portfolio manager for Pimco's Total Return Fund and a member of the firm's investment committee, on where the world's biggest mutual fund is increasing and lowering exposure.
Bill Gross sounded a warning on Thursday about the imminent return of inflation. This is not good news for clients sitting on a stack of long bonds.
Fiscal cliff, asset allocation are biggest worries, survey finds
iShares planning series of target-date exchange-traded funds that hold baskets of investment-grade bonds
Moody's downgrade would effect $14B in munis; slow economic recovery cited
Damage control is admin, logistical problem, not economic, DTCC says.
Bond manager expects 4%-5% stock returns, 2%-3% bond returns ahead
ETFs poised to overtake credit derivatives by year-end as a way to speculate on junk bonds
Michael Siviter, portfolio manager in Invesco Fixed Income, assesses the macroeconomic issues faced by the eurozone and the possible implications for investment portfolios.
Vanguard adds a short-term TIPS fund; plans international and emerging markets bond funds for 2013
Natixis report says savvy advisers in catbird seat amid search for new approach to asset allocation
Pimco boss doesn't foresee full unwinding of obligations from quantitative easing