CRE debt has proven resilient during downturns
This week’s chart looks at the resilience of CRE debt during the global financial crisis, highlighting why seniority in the capital structure matters.
![](https://fsinvestments.com/wp-content/uploads/2022/06/COTW_2022-06-24_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)
With inflation, stock-bond correlation jumps
As prices spike, this week’s chart looks at rising inflation’s impact on the correlation between stocks and bonds.
![](https://fsinvestments.com/wp-content/uploads/2022/06/COTW_2022-06-17_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)
Global fixed income falters amid sustained inflation
This week’s chart looks at the global rate environment, highlighting its impact on U.S. and global core fixed income returns.
![](https://fsinvestments.com/wp-content/uploads/2022/06/COTW_2022-06-10_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)
CRE debt: An overlooked fixed income asset class?
This week’s chart looks at the components of CRE debt returns since 2007, highlighting income returns, which have more than offset credit losses.
![](https://fsinvestments.com/wp-content/uploads/2022/06/COTW_2022-06-03_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)
Wide performance dispersion may favor active managers
Dispersion between best- and worst-performing S&P sectors is at a 20-year high. This week’s chart tracks it over time and outlines why it matters.
![](https://fsinvestments.com/wp-content/uploads/2022/05/COTW_2022-05-27_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)
Stock and bond volatility jump together
Volatility has escalated this year across stock and bond markets. This week’s chart looks at daily changes in the S&P 500 and the Agg.
![](https://fsinvestments.com/wp-content/uploads/2022/05/COTW_2022-05-20_v1_thumbnail-247px.jpg?w=250&h=150&crop=1)