European Fixed-Income Markets: Q3 2024
European Fixed-Income Markets: Q3 2024
As European banks cut rates, inflation continues its downward path and fund performance positively returns
Our Q3 2024 analysis showcases European fixed-income market dynamics and fixed-income investment strategies. Southern European economics outperformed their northern counterparts, highlighted by key factor differences across sectors and categories in both regions.
Flows into fixed-income Morningstar categories remained favorable, as significant inflows to the EUR corporate and GBP government bonds signaled ongoing investor confidence in the sector.
Download the report now to explore more for this quarter’s bond market trends.
What's Inside:
What's Inside:
- An examination on the impact of geographical regions within major European countries
- A review of rated funds with strong selection in financials outperforming peers
- An analysis of Q3 2024 fund flows across multiple fixed-income Morningstar categories