Bond markets are offering compelling income opportunities, with strong issuance & standout new deals attracting significant demand. Jonathan Sheridan shared his views with @ausbiztv on inflation, geopolitical risks and Australia’s record bond pipeline. https://t.co/36qHFnSn9f
Indexed annuity bonds can help:
🔹Hedge against inflation
🔹Provide stable income
🔹Strengthen portfolio diversification
Read more about how they work and why they matter: https://t.co/5i0VkbIIPe
Persistent inflation and a higher-for-longer rate environment continue to shape fixed income markets. Is your bond portfolio positioned for it? Read more: https://t.co/3QMZEZIxnQ
A callable bond is a bond where the issuer has the right, but not the obligation to redeem a bond at certain points in its life before the final maturity date.
Read more on the mechanics and implications of callable bonds for your portfolio: https://t.co/rWmQXb1Cbc
Bonds are back in focus. Our Director of Fixed Income & Investment Strategy, Jonathan Sheridan joined @ausbiztv to unpack how CGT changes could boost bond appeal, and new credit opportunities emerging as bank hybrids fade. Watch here: https://t.co/7ofvoLNneg
April saw oil prices slowly grind higher amid ongoing geopolitical uncertainty. Australian CPI rose to 4.6% year-on-year. Portfolio yields remain elevated, highlighting continued income opportunities.
View our May sample bond portfolios here: https://t.co/JzdjRg1kpl
Quarterly Fixed Income Macro Outlook
Markets are unsettled. Geopolitical tensions, uneven economic data, & interest rate volatility are creating uncertainty for investors, but fixed income continues to offer opportunities for those positioned thoughtfully. https://t.co/3ydyuI5RJf
Speaking to Andrew Geoghegan on @ausbiztv, our Director of Fixed Income & Investment Strategy, Jonathan Sheridan shared his views on Australia’s latest CPI data and the implications for interest rates and credit markets. Watch here: https://t.co/PAP5HKmyI3
With markets expecting further rate hikes, our latest article explains how higher rates work to control inflation — through household cash flows, asset prices and the Australian dollar — and why this cycle is different. Read more: https://t.co/gQCwDwS13w
With yields elevated, bonds are offering compelling income opportunities.
Join our Introduction to Corporate Bonds Seminar in Perth (7 May, 10am).
Learn:
• How bonds work
• Income & capital stability
• Bonds vs shares
RSVP:
https://t.co/2eN8khiw7E
1H26 results show Australia’s four major banks remain well capitalised, with arrears contained across the sector. Competition – particularly in mortgages and deposits – continues to shape funding strategies and cost discipline. Explore the key 1H26 themes: https://t.co/7LidBUa7om
What if your bonds rose with inflation? Inflation-linked securities adjust cashflows to CPI, helping investors protect real purchasing power. Read more: https://t.co/vaU7u4eAlE
Timely insights from our Head of Research, Philip Brown, on the role of bonds in delivering stability and income in uncertain times. Read the full conversation:
https://t.co/A2ogVdDX2B
#bonds#fixedincome#investmentinsights#portfolioconstruction
Speaking on @ausbiz, our Director of Fixed Income & Investment Strategy, Jonathan Sheridan discusses how recent market stability has unlocked strong issuance and wider spreads in lower-rated securitised bonds.
Watch the full interview: https://t.co/29KMhzwVpf
Now available: Retail Sample Portfolio Update – April 2026
A diversified mix of bonds designed to support steady income, with a portfolio yield of 5.92% p.a* return. Built to help manage risk while keeping income front of mind. Learn more: https://t.co/7YpOq7HLO3
March was marked by heightened geopolitical uncertainty, which slowed issuance, yet the sample bond portfolio yields moved higher. Our April Wholesale Sample Bond portfolios highlight the income opportunity available in today’s market. View the portfolios: https://t.co/I1bXNFEYgv
War-driven oil price shocks are reshaping the inflation outlook and contributing to the RBA’s decisions. Our latest analysis explains why the RBA moved early and what it means for bond markets. Read more: https://t.co/o3Bcy8PqLo
#bondmarkets#fixedincome#rba#inflation
On @ausbiztv today, Jonathan Sheridan, Director Fixed Income & Investment Strategy, explores Australia’s rise as the world’s third largest bond issuer; market drivers, and how to generate income and protect capital amid volatility. Watch: https://t.co/LEY31eEsqu
February reporting season delivered strong & resilient earnings across sectors. For bond investors, elevated profits & disciplined cost management are supportive of credit, reinforcing the value of diversified fixed income portfolios. Read more: https://t.co/E15owOZbIN
Curious how bonds fit into your investment strategy? Join our webinar to learn how bonds work, how you can earn an income and protect your capital.
🗓️ Tuesday, 31 March 2026 at 3:30pm AEDT
Register now: https://t.co/AUfmSJQuOn