Jeremy Spain

(Charles Stanley)

I am Charles Stanley’s bond analysts and bond fund manager.  I have 28 years of experience in the City, covering both capital markets and credit derivatives. I am an experienced hand in the credit markets having previously held the position as Head of Bond Trading and Sales at Banco Popolare di Milano in London.

Archive

At its annual results presentation on March 8, Aviva made clear that it wanted to reduce hybrid debt by £900m and as such pointed [...]

27 March

Markets were hit by the highest levels of volatility recorded in nearly a decade last month, fuelled by better than expected [...]

14 March

Rising bond yields have been cited as the reason behind the sell-off in the equity markets but should investors be just as concerned [...]

2 March

The market was spooked by the recent rise in bond yields as data implied that US interest rates could rise at a faster pace than [...]

21 February