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CPI print wiped up last of recent gains for global bonds
Hopes have faded that central banks will make early rate cuts.
Are advisors missing the opportunity in active fixed-income ETFs?
Survey of financial professionals exposes gaps in understanding, with more favoring active bond funds.
TIPS ETFs lose $43B as great inflation hedge unwinds
The pullback points to investors' confidence that the Federal Reserve has gotten inflation under control.
Bond traders change bets on Fed rate cuts
Markets are now conceding that a slower pace is likely.
Bond trader who blew up Atlanta B-D found guilty in fraud case
'Somewhere in the firm's systems, a big, flashing red light should have gone off,' one attorney says.
Markets await earnings, 30-year US government debt sale
Stocks and bonds saw small movements in early trading Thursday.
UBS has wasted no time in offering AT1 bonds
The bank announced its plans Tuesday and is already offering the notes.
BoJ rates likely to turn positive soon, Pimco predicts
Japan's central bank will respond to rising inflation risk.
Treasuries market has had a tough start to 2024
Bloomberg index has only been above year-end mark once so far this year.
Global ESG bond sales hit $150B in January bonanza
Data show the highest levels of activity for the month since the green debt market began in 2007
Bond market rattled by overconfident rate-cuts bet
Treasuries slid on Powell comments and US jobs data.
Cat bonds are having a moment after hedge fund success
Mainstream investors are considering the risky niche investment.
JPMorgan advises taking profit on five-year Treasuries
Regional banks' fears and jobs data have fueled rise in notes.
When will the Fed start cutting?
Advisors give their take on the path ahead as central bank reveals its latest interest-rate decision.
Corporate bond rush tightens global credit spread
Yield premiums fell to near a late-2022 low on Thursday.
Credit default swaps are back in favor for asset managers
The strategy aims to hedge against rates impact on corporate debt.
Why HSBC sees $100B foreign inflows for Indian bonds
Asset management business expects surge in investor interest.
Buy the dip on five-year US notes, Wall Street majors urge
Morgan Stanley and JPMorgan say Treasuries rout is the opportunity they've been waiting for.
Advisors to focus on ‘total return’ this year
Fixed income and individual stocks are among the areas where advisors plan to boost allocations.
Are traders relying too much on history in bets on early rate cut?
Some strategists believe the Fed will wait longer than it has in the past.