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Fixed Income Research

The dislocation in markets has highlighted the critical role that fixed-income research plays in identifying trading opportunities and risks across asset classes.

In Europe, Nomura's fixed-income research team provides a mixture of macro and micro products. The macro product begins with our global economics team, which offers country analysis of the major economies as well as the emerging markets of Europe, Asia, Latin America, the Middle East and Africa.

Our product strategists in rates, foreign exchange and emerging markets then provide advice on how to identify opportunities and manage risks in their respective markets. Our macro strategy team works together with our economists and product strategists to develop global themes and advise clients on multi-asset allocation decisions.

Finally, our quantitative macro strategies team builds systematic frameworks using macroeconomic concepts to provide investible products to clients. 

Our European credit and asset-backed security research teams have a more bottom-up approach to generating ideas and indentifying risks. They are fully integrated with our trading and sales teams to develop executable fundamental and event-driven trade ideas, models, analytic tools and forecasts to share with our core clients.

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