Western Asset Management
Key Convictions: Second Quarter 2026
In this second quarter update, Western Asset believes global fixed-income markets face a more complex backdrop as geopolitics, rapid AI adoption and private credit scrutiny intersect.
The Big Picture: Second Quarter 2026
A quarterly report providing an in-depth analysis of the global economic landscape, key drivers and insights into fixed-income markets for investors.
Muni Monthly: March 2026
Fixed-income market sentiment was dominated by geopolitical headlines, particularly the conflict in the Middle East following disruptions to the Strait of Hormuz and rising oil prices, which contributed to renewed inflation concerns.
Muni Monthly: February 2026
In February, market sentiment was shaped by escalating US-Iran geopolitical tensions and sector-specific selloffs driven by concerns about AI’s potential disruption to existing business models.
Muni Monthly: October 2025
This month’s Muni Monthly covers performance, supply and demand technicals, fundamentals and valuations for the month ending October 2025.
The Demise of ESG—Real or Rumor?
Exploring sustainable investing complexities, this piece categorizes ESG into screening, integration, thematic investing, stewardship, and impact. Despite conflicting reports, ESG-labeled bond funds have thrived, reaching $900.5 billion in assets. Their premium indicates robust demand, countering decline narratives and underscoring continued vitality in fixed-income sustainable investing.
Municipal Bonds, Powered by Tax-Exemption, Earn Renewed Appeal
Sam Weitzman of Western Asset Management highlights the overlooked potential of municipal bonds as a high-quality asset class. With fixed income yields reaching near-decade highs and higher tax rates impacting taxable fixed income investing, municipal bonds are offering above-average after-tax returns and downside protection, making them attractive for income seekers.
Fixed Income Outlook Cautious Due to Lower-Than-Expected U.S. Growth
Ken Leech, Chief Investment Officer at Western Asset takes a dive into his outlook for various segments of the fixed income markets in the second half of 2021.
Is Inflation Rising Persistently, or Is It a Short-Term Blip?
Mark Lindbloom of Western Asset dives into the rise we have seen in inflation, whether it’s expected to be a persistent challenge or short lived, as well as why our environment is increasing the importance of risk mitigation and active management in fixed income.
Americans Getting Back to Work in July, Contrary to Popular Perceptions
Michael Bazdarich, Senior Economist at Western Asset, takes a deep dive into the July payroll jobs report and explains what the figures tell us about the future of our economy.
Municipal Bonds Swinging Back Up, If Modestly
Rob Amodeo, Head of Municipals at Western Asset Management, digs into the state of the muni-bond market, his outlook moving forward and what investors have to look for to find winners in the sector.
COVID-19 and ESG: Prepare for the New Normal
Bonnie Wongtrakool, Global Head of ESG Investments at Western Asset Management, digs into a post-COVID world when it comes to ESG investing and what factors investors should evaluate in companies moving forward so they’re better positioned to add value to their clients over future economic cycles.
Central Bank Dovishness and Good Fundamentals Create Opportunity in Spread Sectors in 2020
Kenneth Leech, Chief Investment Officer at Western Asset Management, takes a deep dive into what he views as key market drivers throughout 2020 as well as his current view on various sectors within the bond markets.