Fixed Income
News and analysis of fixed income markets including the key factors affecting performance such as interest rates, Federal Reserve policy and the state of the economy.
Mnuchin's Ultra-Long Bond Bid Hits Wall Street Reality
By Lisa AbramowiczInsurers might love to hold on to bonds for 50 years, but how would banks feel about that?
April 23, 2017
The Low-Yield Bond Market Is BackAdvisors face the same challenge today that they faced before the election and two Fed rate hikes: finding income for clients.
April 21, 2017
U.S. Stocks Should ‘Terrify’ Janet Yellen: Billionaire InvestorPaul Tudor Jones says U.S. market cap to GDP ratio highest since '00; stocks could rise higher after French election.
April 21, 2017
Fed’s Fischer Says Two More 2017 Hikes Still Feels RightMarket expectations for Fed hikes have softened following a decline in CPI and lowered estimates for Q1 GDP.
April 21, 2017
Equity Investors Rotate Out of US Into Eurozone: BofA Merrill SurveyThe latest BofA Merrill Lynch fund manager survey shows U.S. equity allocations plunging to lowest level in more than nine years.
April 20, 2017
The Biggest Concerns of Not-for-Profit Plan Sponsors: TIAA ReportTIAA suggests ways plan sponsors can prepare employees for successful retirement.
April 20, 2017
Can Earnings Season Help Stocks Avoid an Overdue Correction?That question was just one of many discussed in a recent CFRA webcast "Sell in May, or Will EPS Growth Save the Day?"
April 18, 2017
Mainland China-Hong Kong Bond Market ConnectWe sat down with Teresa Kong to get a better understanding of the context and implications of the flurry of bond announcements about China and Hong Kong.
