Q4 2022 Bond Compass

Opportunities in a Bond Bear Market

It’s time to make the best of a bad situation. Inflationary pressures persist, central banks are hiking rates and further bond market volatility looks likely. In our Q4 Bond Compass, we look at ways for fixed income investors to cope with these challenges, focusing on three areas: short-duration strategies, investment grade credit and hard currency emerging market debt.


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About the Bond Compass


Our most comprehensive quarterly report on fixed income flows and holdings includes analysis of investor trends across $10 trillion of assets,2 plus SPDR® fixed income ETF implementation ideas for the upcoming quarter.