This report, authored by Capital Group investment directors Flavio Carpenzano and Peter Becker, distills the shifting global economic landscape and its implications for fixed income.
US growth is set to moderate as tariffs fuel persistent inflation, while fiscal support and AI investment help sustain momentum.
Europe’s outlook is strengthening, with German fiscal expansion likely pushing the ECB toward rate hikes in 2026.
Tight valuations and political risk favor a defensive, globally diversified approach across rates, credit and EM local markets.
Curious how these dynamics could reshape return drivers across global fixed income? Dive into the full analysis for a deeper view.