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.
Investors’ Cash Level Highest Since Brexit, 9/11: BofA Merrill Survey
By Michael S. FischerWhats making investors so risk averse? Investors are bearish, with fears of an EU breakup, a bond crash and election results, says BofAs Michael Hartnett.
October 17, 2016
3 Potential ‘Black Swans’ to Watch For: 3EDGEThe markets today are even more susceptible to black swan events than before, according to 3EDGEs president Stephen Cucchiaro.
October 17, 2016
Goldman Says U.S. Bondholders Risk a $1.1 Trillion Hit if Rates SpikeA 1% increase in interest rates could inflict such a mega loss in the Bloomberg Barclays U.S. Aggregate Index, according to Goldman analysts.
October 14, 2016
House, Senate Races Loom Large for Next President’s SuccessA single party government can work pretty quickly, said economist Vince Reinhart.
October 14, 2016
As SEC’s Money Market Rules Begin, Advisors Warned of ComplexitiesInvestors should consider impact of new rules, including the deteriorating purchasing power protection of money funds, says PIMCOs Schneider.
October 12, 2016
9 Key Things Next President Should Do to Fix Economy: BrookingsAlthough the economy hasnt always been the focus of this campaign, it will be among the most important challenges for the next president.
October 12, 2016
Fed Members See Rate Rise ‘Relatively Soon’U.S. central bankers debating the merits of raising interest rates last month described the decision as a close call.
October 10, 2016
Valliere: How Will Markets React to a Clinton, Trump Victory?Will a President Trump or a President Clinton extend olive branches to appease the markets?
