Fixed Income
Barclays Capital fixed income research group comprises global teams providing market leading coverage of the following asset classes:
- commodities
- credit – fundamental (high grade and high yield) and strategy
- emerging markets strategy
- foreign exchange strategy
- inflation-linked strategy
- interest rate strategy
- quantitative credit
- securitisation
- structured credit
- technical strategy
Fundamental Research
Barclays Capital fundamental fixed income research teams produce differentiated market analysis and actionable investment ideas for a range of clients around the globe with the objective of aiding them in making better investment decisions. Delivering on these objectives requires teams that are integrated across the business, geographies, financial products and asset classes. It is through this integration that the fixed income research group builds strong relationships with our clients sparking analysts’ curiosity and driving the group towards further research innovation.
Macro
Barclays Capital macro strategy research provides diverse, global views on economics, strategy and policy. Features include:
- globally consistent economic and financial forecasts
- global asset allocation as well as regional and sector recommendations
- political and US governmental event-driven forecasts with sector-specific previews on healthcare, geopolitics, energy, financials and technology