Section
Bond Yields
695 posts
A Steady Ship in Stormy Waters: Fixed Income Markets in the Spotlight
by Pilar Gomez-Bravo, Director of Fixed Income - Europe, Fixed Income Portfolio Manager, MFS Investment Management While storm…
Navigating Volatility: The Case for Tactical Alpha
In today's volatile markets, alternative investments are key for diversification, resilience, and returns, but they demand expertise to navigate. Ash Lawrence, Head of AGF Capital Partners and Scott Radke, CEO and Co-CIO of New Holland Capital discuss...
Tumultuous times: Understanding the macroeconomic landscape
by Sonal Desai, Ph.D., Chief Investment Officer, Franklin Templeton Fixed Income & Patrick Klein, Ph.D., Portfolio Manager, Franklin…
Instant gratification
by Doug Drabik, Fixed Income Research, Raymond James Doug Drabik discusses fixed income market conditions and offers insight…
Quick Thoughts: Preparing for a pause
by Stephen H. Dover, Chief Market Strategist and Head of Franklin Templeton Institute, Franklin Templeton There is a…
Federal Reserve: Pause or Peak?
by Kathy Jones, Global Fixed Income Strategist, Charles Schwab & Company The central bank likely won't have enough…
Winter is over. Bonds are back.
by Fidelity Viewpoints Investment-grade fixed income has rediscovered its old strengths. Key takeaways Bond yields are back around…
The Retirement Savings Gap – Are Canadian Retirees at Risk?
Are Canadians’ retirement plans in a state of crisis? Given rising interest rates, inflation and extreme market volatility, many Canadian retirees may find themselves running out of money prematurely. This "retirement income gap" could mean the difference between thriving and just surviving in their golden years.
Marko Kolanovic: Divergence between the Fed, bonds and stocks
by Marko Kolanovic, Chief Global Markets Strategist, J.P. Morgan Copyright © J.P. Morgan
5 surprising themes for investors to watch now
by Denise Chisholm, Director of Quantitative Market Strategy, Quantitative Research & Investments, Fidelity Management & Research Company High…
Banks wobble and bonds are back to being a Hedge
by Russ Koesterich, CFA, JD, Portfolio Manager, BlackRock Key takeaways: Since early March bonds and growth stocks have…
Fed Increases Rates, Signals Potential Pause in June
In a move that was widely anticipated by analysts and investors, the Federal Reserve has raised the fed…
Rabobank's Every: Republic First, J.P. More-Gain
by Michael Every, Chief Investment Strategist, Rabobank Copyright © Rabobank
The Immaculate Scenario is Still in Play
by Hubert Marleau, Market Economist, Palos Management April 28, 2023 No matter how hard traders try to keep…
Will stocks & bonds move again in opposite directions to strengthen balanced portfolios?
by Jason Zhang, CFA, Portfolio Manager, SLGI Asset Management Inc. For over two decades, stock and bond prices…
Now what?
by Drew O'Neil, Fixed Income, Raymond James Drew O’Neil discusses fixed income market conditions and offers insight for…