skip to global search (press enter).

skip to funds type (press enter).

skip to footer (press enter).

We are using cookies to give you the best experience on our site. Cookies are files stored in your browser and are used by most websites to help personalise your web experience. By continuing to use our website without changing the settings, you are agreeing to our use of cookies. Find out more here.

Find out more here.

September 2020

Expert Investor | 29 September 2020

How to control liquidity risks during volatile times


Head of Investment Risk, Jean-Philippe Blua takes part in a video interview with Expert Investor to discuss how we maintained liquidity in our funds during March’s sell-off. Read more.

 

Financial News | 28 September 2020

“A Deal in Two Weeks” – markets turn optimistic on Brexit


BlueBay’s CIO, Mark Dowding explains why he thinks a deal between the UK and EU will be agreed and what this will mean for the pound. Read more.

 

Financial Times | 28 September 2020

Argentina bonds ‘back in hot water’ just weeks after restructuring deal


Our Emerging Market Senior Sovereign Strategist, Graham Stock talks to the Financial Times about the challenges facing Argentina following the country’s debt restructuring last month and why we remain constructive, but cognisant of the risks. Read more.

 

Reuters | 24 September 2020

EMERGING MARKETS - Turkey's lira surges after unexpected rate hike


Emerging Market Senior Sovereign Strategist, Tim Ash comments on the Turkish lira’s surge following the decision by its central bank to raise its policy rate. Read more.

 

Risk.net | 23 September 2020

Bonds go back to the future as electronic volumes grow


Head of Trading, Stuart Campbell talks to Risk.net about how electronic trading fared during March’s volatility. Read more.

 

Citywire Asia | 21 September 2020

Money managers scouting out the EM bond space


Head of Emerging Market Debt Polina Kurdyavko talks to Citywire Asia about price dislocation in emerging markets recovery. Read more.

 

Hedgeweek | 19 September 2020

BlueBay cautious on Brexit deal compromise after UK short position pays off


Our CIO Mark Dowding discusses why a compromise in trade negotiations between the UK and EU is looking more likely. Read more.

 

Financial Times | 17 September 2020

Ukraine anti-corruption drive in doubt after court ruling


Senior EM Sovereign Strategist, Tim Ash discusses Ukraine’s anti-corruption agenda with the Financial Times. Read more.

 

GlobalCapital | 16 September 2020

Covid-19 highlights the S in ESG


Earlier this week Head of ESG Investment My-Linh Ngo spoke at the GlobalCapital Sustainable and Responsible Investment Capital Markets Virtual Forum 2020. Read more.

 

Trustnet | 15 September 2020

How will markets behave with fewer than 50 days until the US presidential election?


Assistant Portfolio Manager Neil Mehta explains how markets are beginning to price in risks around the US election. Read more.

 

Investment Week | 14 September 2020

Is Biden 'foregone conclusion' for Presidency or unlikely 'fuddy duddy'?


BlueBay’s CIO Mark Dowding shares his views on the upcoming US election. Read more.

 

Financial Times | 14 September 2020

Traders switch to FX after central banks numb bond markets


Senior Portfolio Manager Kaspar Hense discusses bond yields’ fall following central banks’ response to Covid-19. Read more.

 

Reuters | 9 September 2020

New sanction threats, same shrugs from Russia’s investors


Senior EM Sovereign Strategist, Tim Ash offers his views to Reuters on what potential sanctions on Russia could mean for investors. Read more.

 

Investment Week | 9 September 2020

Six months since the 2020 Black Monday crash: What happens next?


As we pass six months since the 2020 Black Monday crash, Chief Investment Strategist David Riley, looks ahead to what the next months may hold. Read more.

 

ESG Clarity | 4 September 2020

BlueBay Q&A: ESG integration is a journey that is never ending


Head of ESG, My-Linh Ngo sits down with ESG Clarity for a detailed interview about our commitments to ESG and the targets we’ve set ourselves for 2020. Read more.

 

Financial Times | 4 September 2020

Germany and Daimler jolt green bond market back to life


Senior Corporate Analyst, Nesche Yazgan talks to the Financial Times’ Moral Money about how Germany’s automotive manufacturing industry is balancing ESG issues with profitability and meeting government directives. Read more.

 

Reuters | 2 September 2020

Returning to public debt markets after six years, Dubai gets $2 billion


Senior EM Sovereign Strategist, Tim Ash reacts to Dubai’s first sovereign debt issuance in six years. Read more.

 

Financial Times | 2 September 2020

Investors pounce on Germany’s first green bond sale


CIO, Mark Dowding discusses Germany’s first green sovereign bond issuance with the FT. Read more.


Professional Pensions | 2 September 2020

In a post-Covid world, pension funds need to cast a wider net


Senior Portfolio Manager Blair Reed writes an in-depth analysis of pension funds in a post-Covid world for Professional Pensions Magazine. Read more.

 

Investment & Pensions Europe | 1 September 2020

Briefing: Timing is everything in distress


Senior Portfolio Manager, Justin Jewell gives his view on the rise of distressed debt and the opportunities this presents for investors to Investment & Pensions Europe Magazine. Read more.