This article was produced by Generali Investments as part of their valued industry partnership with Insurance Investor.
After years in which falling inflation, predictable central banks and familiar market dynamics shaped investment decisions, fixed income investors are navigating a more complex landscape. Geopolitical fracturing, persistent inflationary pressures, elevated public debt and shifting currency relationships are challenging long-held assumptions about diversification and the role of traditional safe havens.
Yet periods of transition create opportunities for active investors. In this semi-annual outlook, seven fixed income specialists from across the Generali Investments platform share their views on the themes shaping the second half of 2026 — from corporate and emerging market debt to unconstrained strategies and insurance portfolios.
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