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Stocks may seem serene, but watch out for these risks
There is nary a bear in sight, yet advisors need to take geopolitical worries into account, says a Wellington-Altus stategist.
Russell Investments expands its managed accounts menu
The asset manager is giving advisors more power to personalize portfolios with fixed-income and multi-asset options.
Biggest CLO ETF cements its dominance as it smashes $10B AUM barrier
The fund, which is neither the first mover nor the price leader, now has a roughly 90 percent share of the bourgeoning market.
Election uncertainty might spoil popular macro trades, says Morgan Stanley
Strategists at the banking giant see risks rising for four strategies as the Biden-Trump rematch draws near.
We could still be at the start of a fixed income golden age
Rate-cutting cycles happen only every few years - investors should position themselves to take advantage.
Do private debt fund returns offset their risks?
A new study asks how well the fast-growing alternative investment vehicles perform based on equity and debt benchmarks.
In just five months, junk muni fund zooms from zero to $1B
The growth of the strategy, helmed by multi-decade industry veteran and “king” of high-yield muni bonds, reflects a market-wide hunger.
BofA, Barclays strategists split on muni bond rally odds
Two of the biggest players in the $4T space offered contrasting views on what the summer will bring for investors.
With SEC rule changes looming, money funds start shifting their holdings
Measures from the federal regulator are likely to shift the balance of market demand toward less risky assets.
Cracks are showing in private credit, says Moody’s
The ratings agency sees a potential reckoning as “realities of higher interest rates” erode credit quality and create performance challenges.
Mastering patience: The timeless wisdom of ‘Don’t Fight the Fed’
It's easy to ridicule the central bank and predict a policy mistake, but history has taught us that doubting its strategy rarely ends well.
Bond mutual funds rake in $108B to snap two-year flows drought
The script has flipped in fixed income as figures show ETFs lagging mutual fund flows, with the bulk going to active bond funds.
Lack of progress on inflation forces hawkish Fed hold
Policymakers at the US central bank raise fresh concerns around price pressures.
“Cold April” shows muni bonds not immune to Fed talk
Investors’ doused sentiment around rate cuts leaks into market for munis, which posted their worst record since September.
Rockefeller deepens its bench with fixed-income muscle
The firm adds three portfolio management professionals to its asset management arm as it seeks opportunities in the muni bond market.
Have bond yields peaked? This week will provide answers
Several Treasury auctions this week will signal whether 5% is the peak.
US yields at highest since November, enticing opportunist buyers
Despite negative sentiment, some investors are seeing potential.
Bond traders consider 5% yield, potential of no rate cuts
Pimco and others are weighing the prospects of the Fed standing firm.
Uncle Sam’s debt woes create opportunity for muni buyers
'If you think taxes are going up, munis and the muni exemption are a great place to be," Nuveen's head of municipals says.
Advisors regaining an appreciation for bonds as higher rates settle in
'With 10-year Treasury yields near multiyear highs, now is a good time to be a bond investor,' an advisor says.