Municipal Bond

State Of The States 2025 — Poised For Fiscal Stability

January 10, 2025 | By Jeffrey T. Devine

Fiscal conditions across state governments remain healthy as the sector heads into 2025.

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Taxable Bond

GW&K Taxable Monthly Update December 2024

January 9, 2025 | By GW&K

GW&K's Taxable Bond Team shares how December 2024 fixed income market events are influencing their portfolio positioning, sector allocation, and outlook.

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Wealth Insights

2024 Year-End Financial Planning Reminders

December 18, 2024 | By Melissa F. Jacoby

The end of the year can be an opportune time to review key documents to confirm named beneficiaries, executors, and trustees.

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Taxable Bond

The Recovery of Regional Banks

December 16, 2024 | By M. Seamus Ryan, CFA

Regional banks survived the 2023 banking crisis better than many investors expected. What are the risks and opportunities today? Learn more from Seamus Ryan, GW&K’s Director of Taxable Bond Research.

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Taxable Bond

GW&K Taxable Monthly Update November 2024

December 11, 2024 | By GW&K

GW&K's Taxable Bond Team shares how November 2024 fixed income market events are influencing their portfolio positioning, sector allocation, and outlook.

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Macro

Mixed Signals

December 10, 2024 | By William Sterling, Ph.D.

Financial markets have reacted to Donald Trump’s presidential election victory with an unusual mix of confidence and caution. What does it mean for investors?

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Macro

America’s Productivity Renaissance

December 6, 2024 | By William Sterling, Ph.D.

US productivity is surging — potentially adding $7 trillion to GDP by 2034. Bill Sterling covers the drivers and potential obstacles in this article.

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Municipal Bond

GW&K Municipal Bond Market Insights

December 2, 2024 | By Kara M. South, CFA & Michael V. Rabuffo, CFA

GW&K investment experts share their late-2024 review and outlook for municipal bonds.

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Taxable Bond

Market Dynamics Impacting Mortgage-Backed Securities

November 14, 2024 | By Brendan Doucette

GW&K’s Brendan Doucette shares recent trends in mortgage-backed securities – including wider yield spreads, rate volatility, and the shift in the buyer base – and explores the outlook for both MBS spreads and the securitized sector.

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