Beyond Bulls & Bears

Quick Thoughts: Defensive on the Curve
Fixed Income

Quick Thoughts: Defensive on the Curve

Stephen Dover shares insights on investing in fixed income in a rising-rate environment with Walter Kilcullen, Head of US High Yield for Western Asset Management, and Reema Agarwal, Head of Floating Rate Debt for Franklin Templeton Fixed Income.

Diving into the ETF and Mutual Fund NAV Pool

Diving into the ETF and Mutual Fund NAV Pool

With many mutual funds converting into exchange-traded funds (ETFs), the combination of ETF trading and net asset value is garnering more attention. David Mann, Head of Global ETF Capital Markets, dives in.

Re-Evaluating Work and Retirement
Perspectives

Re-Evaluating Work and Retirement

Franklin Templeton’s second edition of our “Voice of the American Worker” survey revealed that US workers are re-evaluating how they think about their jobs and what they expect from employers. Respondents also expressed a focus on financial independence and well-being. Our Yaqub Ahmed and Jacquelyn Reardon share findings from the survey, and potential implications for employers.

Quick Thoughts: On Central Banks and Volatility
Perspectives

Quick Thoughts: On Central Banks and Volatility

Thoughts on recent global market volatility and potential central bank actions from our EMEA Investment Strategist, Kim Catechis, Franklin Templeton Fixed Income’s David Zahn, and Martin Currie’s Zehrid Osmani.

Quick Thoughts: On the US Markets and Volatility
Perspectives

Quick Thoughts: On the US Markets and Volatility

With rising inflation, interest rate hikes, declining global growth, and geopolitical tensions around the world, it is not surprising market volatility has been surging. What should investors expect going forward? This past week Stephen Dover discussed these topics and more with colleagues Scott Glasser, Chief Investment Officer of ClearBridge Investments, and Mark Lindbloom, Portfolio Manager for Western Asset.

Global Plays on Inflation for 2022

Global Plays on Inflation for 2022

When considering portfolio allocation, it’s important to keep in mind the wide dispersion of returns among economies. Dina Ting, Franklin Templeton’s Head of Global Index Portfolio Management, assesses the recent dislocation among global equity returns, with a look at one notable inflation outlier—Japan.

High Yield in View: An Update on Autos and Semiconductors
Fixed Income

High Yield in View: An Update on Autos and Semiconductors

The intricacies and knock-on effects of the COVID-19 pandemic on the semiconductor and automotive industries continue to present interesting dynamics for investors to navigate. Franklin Templeton Fixed Income Research Analyst Aleck Beach offers his view of the space from a credit lens.

The Fed: Walking a Tightrope in 2022
Multi-Asset

The Fed: Walking a Tightrope in 2022

The US Federal Reserve is walking a tightrope—if it acts too quickly it risks hampering growth and market volatility, but if it acts too slowly it risks spiraling price increases. Franklin Templeton Investment Solutions weighs in on the Fed’s dilemma. They provide their monetary policy expectations and offer insight into investments they currently favor in their portfolios—and ones they don’t.

Quick Thoughts: The Inflation Debate
Perspectives

Quick Thoughts: The Inflation Debate

Disagreements about the outlook for inflation in the new year and beyond continue. Stephen Dover, Head of the Franklin Templeton Investment Institute, recently led a lively debate on the topic with Western Asset’s John Bellows and Franklin Templeton Fixed Income’s Sonal Desai.

PODCAST: Anatomy of a Recession: Changing Conditions but US Economy Remains Strong
Perspectives

PODCAST: Anatomy of a Recession: Changing Conditions but US Economy Remains Strong

In our latest "Talking Markets" podcast, Jeff Schulze, Investment Strategist at ClearBridge Investments, provides his latest look at the health of the US economy. We hear about the number one factor driving consumer sentiment down to recessionary levels, three reasons why inflation may not last long term, and what may lie ahead after the Federal Reserve begins to taper and raise interest rates. 

K2 Hedge-Fund Strategy Outlook: First Quarter 2022
Alternatives

K2 Hedge-Fund Strategy Outlook: First Quarter 2022

With both the pandemic and inflation proving longer lasting than many had anticipated, what does that mean for central bank policy in the months ahead? The K2 Advisors team ponders the implications for hedge-fund strategies in its first-quarter 2022 outlook.

PODCAST: A Tale of Two Real Estate Markets: US and China
Alternatives

PODCAST: A Tale of Two Real Estate Markets: US and China

Tracy Chen, Portfolio Manager with Brandywine Global, and Tim Wang, Head of Investment Research for Clarion Partners, join Head of the Franklin Templeton Investment Institute, Stephen Dover, to take a closer look at how the pandemic has impacted real estate markets in the United States and China.