A strong strategy can see a company through the toughest of situations. We sat down with Juhana Heikkilä, Senior Portfolio Manager, and Juhamatti...
No asset class was safe from the effects of the Covid-19 crisis. You’re probably wondering, “What about the bonds that mature next year?” Nope, not...
What is normally the most resilient market in corporate credit? Short-dated credit. It’s been the place for safe, steady returns. But the Covid-19...
What makes a top-class portfolio manager? We posed this question to Evli’s Senior Portfolio Manager Jani Kurppa, who is rated in the top 1% of...
The old curse, “May you live in interesting times,” is frighteningly appropriate now. But remember also, you may invest in interesting times....
The Nordic bond market offers great variety of sectors, local mix and structure. They bring diversification and additional returns to the portfolio.
Imagine this: you just had a great year in credit. Eager for more in 2020. Defaults remain low. Spreads are tighter. But there are still attractive...
Low yields, tight spreads. It will be a struggle to generate healthy credit returns in 2020. Where to invest, without chasing yield in high risk or...
As economic growth is slowing and the returns on government bonds are mainly negative, many investors are seeking safer, low-risk investment targets...