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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.
High-yield debt issuance to accelerate, says BlackRock
Global issuance for leveraged loans and high-yield bonds jumped to over $40 billion this month.
Citi takes significant step in revolutionizing the global bond market
Wall Street firm says it is investing in the future of digital financial market infrastructure.
Advisors pile into Treasuries, leaving muni bonds behind
With Treasury yields so elevated, it’s easy to understand why financial advisors are funneling excess client money into good old government bonds.
Advisors fear slow growth, see value in high-quality bonds: PGIM study
Treasuries rank as the most attractive fixed-income sector but advisor urges clients to diversify should economic environment suddenly change.
Think twice: The cost of being out of the market
Some investors mistakenly believe they can achieve superior results by trying to time the market, but this approach inevitably leads to missed opportunities.
Advisors debate how to make muni bond allocations count
The good news is that, broadly speaking, the picture looks really sound in muni world.
Why bonds are the best since the financial crisis
Investors are weighing prospect of higher rates for longer.
Single-bond ETF manager goes against current by asking SEC for mutual fund share class
There has been a trend away from mutual funds toward ETFs, but not in the 401(k) world, and fund provider F/m Investments sees that an opportunity.
Schwab to issue debt after news of job cuts
The longest-dated portion of the firm's senior unsecured notes, an 11-year fixed-to-floating-rate note, may yield about 2.05 percentage points over Treasuries.
BofA strategists warn bond investors of ‘5% world’
Bond traders are finally coming to the realization that the rock-bottom yields of recent history might be gone for good.
Equities provided institutions with a 2.3% median return in second quarter
Northern Trust research shows that tech sector stocks, especially AI, were among the winners.
Don’t fear the inverted yield curve
The most direct implication of the inverted curve isn't a recession, but that yields will be lower in the future.
S&P drops ESG scores from debt ratings
The company made the change in response to confusion among investors who use its corporate credit ratings.
Will long-dated Treasuries entice investors?
Or will higher yields repel buyers in the next round of refinancing?