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.
El-Erian: Investors Expect More 'Collateral Damage' From Fed Moves
By Dinah Wisenberg BrinThe economist likened the central bank's behavior to that found in "developing countries with weak institutions."
September 28, 2022
Analysts Look Inside Private Equity-Owned Insurers' VaultsHere's what the NAIC found in the portfolios that support the benefits promises.
September 28, 2022
Jeremy Siegel: Fed's Powell Should Apologize to Americans"I think they're talking way too tough," Wharton economist Jeremy Siegel said of the Fed.
September 27, 2022
Vanguard CIO Warns Investors Against Market TimingAnd don't count balanced portfolios out just yet, Greg Davis writes.
September 27, 2022
Gundlach Starts Buying After Worst Treasury Rout in Decades"The U.S. Treasury Bond market is rallying," said Gundlach, whose firm manages more than $107 billion. "Been a long time."
September 23, 2022
Morgan Stanley CIO: Stock Market 'Full of Wishful Thinking'Stock investors don't believe the Fed is willing to risk recession to fight inflation, Lisa Shalett tells ThinkAdvisor.
September 22, 2022
Roubini: Expect 'Long and Ugly' Recession, 40% Stock DropGiven this outlook, Economist Nouriel Roubini suggests investors "be light on equities and have more cash."
September 21, 2022
Powell Says Rates to Be Raised 'Purposefully' to Curb InflationThe Fed chair said officials aim to bring inflation down to 2%, adding that "we will keep at it until the job is done."