Mike Rosborough is a Managing Director and Head of Macro for the Broad Markets Fixed Income team at Morgan Stanley Investment Management. Prior to joining MSIM in 2025, Mr. Rosborough was Senior Vice ...
One of the great dividing lines in the bond market is between fixed-rate and floating-rate debt. This difference has become especially stark since 2022, as the rise in short-term interest rates ...
Saurabh Sud, CFA, is a portfolio manager in the Global Fixed Income Division at T. Rowe Price. He manages the Dynamic Credit Strategy, co-manages the US Core Bond Strategy, and is a member of the ...
The universe of U.S. fixed-income products now includes over 700 ETFs with total assets approaching $2 trillion, according to ETF.com. So, advisors have no shortage of options when building out ...
Fixed income is trying to find its footing these days. What seemed like a clear path in the latter part of last year—in the form of downward trajectories in both inflation and interest rates—has been ...
The U.S. bond market posted its best return since 2020 as lower US Treasury yields, tighter corporate and MBS spreads pushed the U.S. Aggregate to a total return of 7.30% in 2025. In particular, MBS ...
Capital at risk. The value of your investments can go up and down, and you may get back less than you invest. Fixed income investments offer a regular income stream, as well as the opportunity to ...