Oil Shock, Inflation Risks, and the Outlook for Fixed Income Investors

The escalation of the conflict in the Middle East has triggered a meaningful oil shock, introducing renewed uncertainty into the global inflation outlook and complicating the path for central bank policy. For fixed-income investors, the key question is whether higher energy prices represent a temporary disruption or the start of a more sustained inflation challenge […]
How CFOs should navigate the current environment

Whether you are managing a large corporate balance sheet or your retirement portfolio, all CEOs, CFOs, investors or financial controllers benefit from understanding the impact of the macro-economic environment on their business or investment strategy. Today we look at US and Jamaican monetary policy and their implications for our investment strategy: Central Bank Policy – Interest […]
Financial Markets Performance: Looking Back while Navigating Ahead

The year 2024 was a fascinating one for global financial markets, marked by shifting monetary policies, evolving geopolitical dynamics, and a continued focus on sustainability. While the markets faced periods of volatility, certain sectors demonstrated resilience, offering both challenges and opportunities for investors. In this article we’ll review the performance of financial markets in 2024, […]
Positioning your portfolio for changing interest rates

Throughout 2023 fixed income investors who were brave and had excess liquidity were able to take advantage of opportunities that arose in the bond market. Investors were able to add instruments that were investment grade at steep discounts. While some investors clutched their pearls, the brave stayed the course even as their portfolio value perhaps […]