Bond markets in the UK may be more sensitive to fiscal credibility following the turbulence after the 2022 Liz Truss budget. But fiscal sustainability in the UK does not significantly differ from some ...
Investors have already seen the yield on the 10-year Treasury rise from as little as 3.6 per cent in mid-September to about 4 ...
There is little sign of crimped demand for equities among individual investors, who remain bullish after two years of ...
In the bond market, Donald Trump’s first week, at least, turned out far less destabilizing than feared. Traders hope the same ...
The BoC’s tone during its policy-rate announcements matters, Mr. Rethazy notes. Even when rates drop, hints of inflation ...
Budget 2025, Q3 results, foreign fund outflow, US Fed verdict, among others, will dictate trends this week. D-Street experts ...
The breaching of the US debt limit could expose 2 bullish catalysts for stock prices: lower interest rates and gridlock among ...
IN today’s topsy-turvy credit world, risky bonds are outperforming safe ones in periods of volatility. The reason? An increasing focus on interest income, or carry in industry parlance. Strong inflows ...