Bond Market Rebound Is Bad News for the Economy
By Gary ShillingThe shift to quantitative tightening and the end of massive fiscal stimulus is a major shock to the economy.
March 15, 2022
GMO's Grantham: 9 Market Predictions for Advisors, InvestorsWhile the course of a war is "murderously difficult to predict," they tend to be good for investors, he says.
March 14, 2022
DoubleLine's Jeffrey Sherman: Where to Invest as Fed Hikes Are ImminentThe DoubleLine executive talks to ThinkAdvisor about inflation, the Russia-Ukraine war and a potential recessionary problem in 2023.
March 11, 2022
Gundlach's DoubleLine Gets SEC Green Light to Launch Its First ETFsThe firm is set to move forward on launching the DoubleLine Opportunistic Bond and DoubleLine Shiller CAPE U.S. Equities ETFs.
February 28, 2022
10 Bond Funds With Big Russian Holdings: MorningstarIn the wake of its Ukraine invasion, Russia's markets have crashed, affecting funds with heavy Russian holdings.
February 23, 2022
Last ETF Holdout Caves as Capital Group Moves to Launch FundsThe firm is rolling out six actively managed exchange-traded funds that are set to debut on the New York Stock Exchange Thursday.
February 07, 2022
Billions Flow to Cash-Like ETFs in 'Hunt' Before Fed HikeWhat's safer than short-duration bonds? Even shorter duration debt.
January 11, 2022
Fed Will Tackle High Inflation: Powell"If we have to raise interest rates more over time, we will," the Fed Reserve chair said Tuesday. "We will use our tools to get inflation back."