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Our views 08 December 2025

Sterling credit: Compression and commoditisation

Outlook 2026

5 min read

Sterling credit markets have shown remarkable resilience in 2025, weathering external noise and tightening spreads.

Despite elevated interest rates and persistent volatility, investment grade credit still offers attractive yields underpinned by robust fundamentals. The commoditisation of the market, driven by new buyers like insurers and ETFs, brings opportunities for active managers to add value through research-led approaches.

Read the sterling credit chapter from our Outlook 2026:

Compression and commoditisation, by Paola Binns


Download the full Outlook 2026:

Royal London Asset Managment Outlook 2026

 

This is a financial promotion and is not investment advice. Past performance is not a guide to future performance. The value of investments and any income from them may go down as well as up and is not guaranteed. Investors may not get back the amount invested. Portfolio characteristics and holdings are subject to change without notice. The views expressed are those of the author at the date of publication unless otherwise indicated, which are subject to change, and is not investment advice. 

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