Section
Credit Markets
578 posts
Q4 market update: Late cycle and lower rates
Can interest rate cuts by central banks restart global growth despite trade tensions? by Dirk Hofschire, CFA, SVP;…
Quarterly Review: All We Have To Fear...
Global equities squeaked out a return in the quarter, but it was a bumpy ride for investors worried…
Five more years for this cycle, redux
by Krishna Memani, Vice Chairman of Investments, Invesco Coming into 2019, I had asserted that while growth was…
Larry Adam: The Current Investing Outlook à la “Wizard of Oz”
by Larry Adam, Chief Investment Strategist, Raymond James On the 80th anniversary of the iconic movie’s release, CIO…
Will Municipal Bonds Continue to Deliver? An Investor Q&A
by Daryl Clements, AllianceBernstein Year to date, the municipal market has posted exceptionally strong returns of more than…
Making the grade: How risky are BBB bonds?
by Karen Schenone, CFA, Blackrock Economic uncertainty has increased investor focus on the possibility of BBB-rated bonds being…
Who Could Have Known: What The Repo Fiasco Entails
by Michael Lebowitz, CFA, and Jack Scott, CFA, 720 Global Research Imagine approaching a friend that you think…
Saut Strategy: Principles learned from T. Boone Pickens – Charts of the Week 9/25/19
by Andrew Adams CFA, CMT, Saut Strategy LLC Charts of the Week As mentioned in Jeff Saut’s report…
Could Negative Bond Yields Come to America?
by Kathy Jones, Senior Vice President, Chief Fixed Income Strategist, Schwab Center for Financial Research Investors have watched…
There’s more to a bond than its yield
by Avi Hooper, Invesco Canada Investors frequently focus on the yield to maturity that bonds pay, rather than…
How Balanced Income Can Help in Today’s Markets
by Matthew Sheridan, AllianceBernstein Transcript: If clients have income needs, then it makes most sense today to look…
The Fed’s Dilemma, Draghi’s Parting Gift, Mortgage Rate Meltdown
by Carl R. Tannenbaum, Ryan James Boyle, Vaibhav Tandon, Northern Trust Summary The Fed’s Dilemma Mario Draghi Solidifies…
An alternative to record low yields
The current state of the global bond market is perhaps one of the most challenging environments for fixed-income investors in recent memory. Such low yields make investing for income especially difficult, leaving investors without a historical roadmap to guide their bond investments.
Uncertainty casts its shadow over the U.S., Europe, and China
by Brian Levitt, Arnab Das and David Chao, Invesco Canada This week, we are going to take a…
No, Bonds Still Aren’t Overvalued!
by Lance Roberts, Clarity Financial Interest rates have plunged lately as concerns about a recession in the U.S.…