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JPMorgan favors 60/40 over cash for the next decade
The stalwart strategy for investing is far from dead say Wall Street experts.
Treasury market volatility feels like pandemic-era 2020
Volatility is heightened by uncertainty but yields are still trending higher.
Wall Street pros lose $10B in Treasury ETF but many keep hoping
The iShares 20+ Year Treasury Bond ETF continues to gain inflows.
This bond market is providing double-digit returns
Investors have seen returns as high as 16% from one class of debt instrument.
Higher for longer rates looking more certain
Underlying core inflation is cementing opinion for the end of the cheap money era for now.
ESG bond issuance headed for a slump in US, Goldman says
There's likely to be just $40 billion of corporate-grade ESG debt issued in the U.S., which is half what U.S. companies issued last year.
Fed seen leaning toward another rate hike after big jobs gain
'The acceleration in growth justifies higher rates and hawks will remain concerned about backsliding on progress made on inflation,' says an economist.
Rescuing the bond market demands an equities crash, says Barclays
Fixed-income assets will remain less appealing unless stocks fall in the coming weeks.
Global bond sell-off gains pace, Treasury yields at 16-year high
US jobs data added to expectation that the Fed has more hiking to do.
Boom in new ETFs defies saturation warnings
'Is this the year of the bond ETF? Certainly flows seem to be shouting that from the rooftops,' says VettaFi's Lara Crigger.
Treasury sell-off may reflect fears over rising US deficit
Benchmark US yields jumped to the highest levels in 16 years Monday.
Advisors finally being forced to reckon with client cash
Cash has clout again and suddenly financial advisors have real decisions to make about the excess funds in their client accounts.
Broker who sold GWG bonds faces deluge of investor complaints
'I intend to vigorously defend myself against these claims,' broker Tony Barouti states.
Corporate bonds swing into loss amid hawkish Fed
Optimism has been shattered by the tougher stance taken by the central bank.
Franklin Templeton expects more debt defaults from junk firms
Asset manager sees greater risk in high-yield, but says it’s generally good risk.
Why government shutdown risk is good news for the greenback
US dollar is gaining strength and some analysts expect it to go further.
Vanguard plans first new actively managed ETFs in two years
Both new products would focus on the fixed-income market.
BofA sees equities exodus, 10-year Treasuries yield highest since 2007
Markets are readjusting for rates that are higher for longer.
Schroders’ new bond scores level ESG playing field
Emerging markets look more attractive once rich-world bias is corrected.
Debt-financed M&A may push firms to shed assets: Tibergien
Following Cetera's announcement that it was going to buy Avantax, two ratings agencies put the debt of Cetera's parent, Aretec Group Inc., on review.