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The Case for Bonds in 2025: Yields, Stability, and Strategic Allocation | The Fixed Income Outlook Q1 2025 - NorthCoast Asset Management

Written by Julia Zhu | Apr 25, 2025 7:50:22 PM

In the first quarter of 2025, the fixed income market generally delivered positive returns while the U.S. equity market experienced significant volatility. The Bloomberg U.S. Aggregate Index (AGG) returned 2.7% in Q1, providing portfolio diversification when the S&P 500 pulled back, returning -4.3% for the quarter. 

Read the Fixed Income Outlook