Bloomberg
What Oaktree's Howard Marks Thinks of Credit Markets, Fed
Aug.05 -- Howard Marks, co-founder and co-chairman of Oaktree Capital, discusses his views on credit markets and Federal Reserve monetary policy with Bloomberg's Erik Schatzker on "Bloomberg Markets."
Bloomberg
Tech Is On Verge Of Huge Transition: Porter Bibb
Jul.30 -- Mediatech Capital Managing Partner Porter Bibb says technology is on the verge of a transition because of the advances in AI. He joins Romaine Bostick on "Bloomberg Wall Street Week.
Bloomberg
Inflation Is Not Out Of Control: Malik
Nuveen CIO of Equities Saira Malik says inflation is not out of control, and thinks we are past peak economic growth. She joins alongside Quadratic Capital Founder & CIO Nancy Davis on "Bloomberg Wall Street Week. (Source: Bloomberg)
Bloomberg
Pimco's Schneider Warns About Looming Treasury Supply Falloff
Jerome Schneider, Pimco's head of short-term portfolio management, predicts a falloff in the supply of U.S. Treasuries. He speaks with Bloomberg's Jonathan Ferro on "Bloomberg The Open." (Source: Bloomberg)
Bloomberg
Labor Market is Strengthening: Tyson
Aug.06 -- UC Berkeley Haas School of Business professor Laura Tyson thinks the labor market is strengthening and inflation expectations are anchored. She joins alongside JPMorgan Asset Management Chief Global Strategist David Kelly on...
Bloomberg
Fed's Barkin on Fedwire Outage, Inflation and Yields
Mar.01 -- Federal Reserve Bank of Richmond President Thomas Barkin discusses the Fedwire outage, inflation expectations and asset price levels with Bloomberg's Mike McKee on "Balance of Power."
Bloomberg
Dan Fuss Says the Fed Has 'Quite a Bit' of Tools Left
Nov.03 -- Loomis Sayles & Co. Vice Chairman Dan Fuss says it would be counterproductive for the Federal Reserve to drive rates down to zero. He speaks during an interview on "Bloomberg Markets: The Close."
Bloomberg
Fixed Income Smart Beta Gets $25 Trillion Endorsement
Oct.23 -- With trillion of dollars of global debt already yielding below zero, institutional investors are backing a new way to invest in bonds. Howie Li, Legal & General Investment Management's head of ETFs, and Bloomberg's Sam Potter...
Bloomberg
TD's Misra Predicts Higher Rates, 2% on 10-Year by Year-End
Apr.23 -- Priya Misra, TD Securities global head of rates strategy, says the market has finally heard the Federal Reserve and the central bank won't be tapering anytime soon. She speaks on "Bloomberg Surveillance."
Bloomberg
Standard Chartered Sees More Downside for Dollar; Favors Aussie
Mayank Mishra, global foreign exchange and macro strategist at Standard Chartered, discusses the outlook for the U.S. economy, Treasuries, and currencies. He also talks about China's economy, policies and markets. He speaks with Juliette...
Bloomberg
How the Dollar's Strength Impacts Credit Markets
Winnie Cisar, CreditSights global head of strategy, discusses how the strength in the US dollar affects credit markets with Jonathan Ferro on "Bloomberg The Open."
Bloomberg
Schroders Says 10-Year Yield at 1.75% Is Key for Positioning
Feb.25 -- Schroders says it may reverse its underweight bonds, overweight equities position if the yield on U.S. 10-Year Treasuries rises to 1.75%. At that level "it does start to pose a challenge to U.S. equity valuations," Schroders...
Bloomberg
Economist Rosenberg Sees Downward Pull on Treasury Yields
Nov.23 -- David Rosenberg, chief economist and strategist at Rosenberg Research, sees yields caught in a range and says Treasuries offer good value on a relative basis. He speaks on "Bloomberg Surveillance."
Bloomberg
Recession Could Cause 10% Drop in Stocks: Rooney Vera
"If we do effectively go into recession we could see an additional 10% downside in equity markets," Bulltick Capital Markets Chief Investment Strategist Kathryn Rooney Vera says during an interview on "Bloomberg Markets." Rooney Vera...
Bloomberg
Greenspan: Bond Market Rally Isn’t Sustainable
Sept. 22 -- Former Federal Reserve Chairman Alan Greenspan talks about the state of bonds as he sees a speculative element in the market and offers his view that long-term rates will soon go up. He speaks on "Bloomberg ‹GO›."
Bloomberg
Counting the Benefits of a Treasury Selloff
October 31 -- Treasuries are set for their biggest tumble in 20 months, part of a global selloff that was sparked by investor concern that central banks are preparing to gradually reduce stimulus. U.S. securities have lost 1.2 percent...
Bloomberg
Why High Yield Is More on the Expensive Side
Feb.12 -- Gershon Distenfeld, AB director of credit, discusses the credit market with Scarlet Fu, Julia Chatterley and Joe Weisenthal on "What'd You Miss?"
Bloomberg
The Week Ahead: FOMC Minutes, China GDP & U.S. Treasury's Currency Report
Oct.12 -- The week ahead features U.S. earnings, the release of the FOMC minutes, Brexit talks in Brussels, China GDP and a currency report from the U.S. Treasury. Priya Misra, head of global rates strategy at TD Securities, Matt Toms,...
Bloomberg
Payrolls Report Proves U.S. Economy Still on Top
Sep.07 -- American wages unexpectedly climbed in August by the most since the recession ended in 2009 and hiring rose by more than forecast, keeping the Federal Reserve on track to lift interest rates this month and making another hike...
Bloomberg
Why Wall Street Should Be Paying Attention to 3-Month Libor Rates
Nov.29 -- Bloomberg's Lisa Abramowicz explains why investors should be paying more attention to 3-month Libor rates. She speaks on "Bloomberg Markets: The Close."
Bloomberg
JPMorgan Sees Bearish Outlook for Bonds as Fed Stays on Rate Path
Dec.03 -- John Normand, head of cross-asset fundamental strategy at JPMorgan, discusses the outlook for Treasuries, the dollar, the U.S. economy and Federal Reserve policy. He speaks on "Bloomberg Surveillance."
Bloomberg
Bloomberg Market Wrap 11/07: Health-Care Stocks, Treasury Yields
Nov.07 -- Bloomberg market reporters take a deep dive into all of the action today.
Bloomberg
Fed Has Thrown Kitchen Sink at Repo Issue, BofA's Cabana Says
Dec.17 -- Lale Topcuoglu, JOHCM senior fund manager, and Mark Cabana, BofA Securities head of U.S. rates strategy, discuss the Federal Reserve's approach to preventing flare ups in the repo market. They speak with Bloomberg's Alix Steel...
Bloomberg
U.S. 10-Year Yield Plunges: What's Different This Time?
Jul.02 -- In "Single Best Chart," Jim Caron, global fixed income portfolio manager at Morgan Stanley, discusses the U.S. 10-year Treasury yield and risk appetite. He speaks on "Bloomberg Surveillance."