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
Why JPMorgan Will Have a Good Third Quarter: Miller
Oct. 13 -- Paul Miller, managing director at FBR Capital Markets, talks with Betty Liu about his expectations for third-quarter results from JPMorgan. He speaks on In The Loop.
Bloomberg
Earnings Season Keeps Getting Worse, Here's Why
April 11 -- Wells Fargo Securities Strategist Gina Martin Adams weighs in on earnings season expectations. She speaks on "Bloomberg ‹GO›."
Bloomberg
Making the Case for a Fed Rate Cut in December
June 15 -- Thomas Costerg, senior U.S. economist at Standard Chartered Bank, explains why he sees an interest rate cut coming from the Federal Reserve in December. He speaks on "Bloomberg Markets
Bloomberg
Mizuho's Reade: Yield Curve More Likely to Flatten
Sept. 12 -- Mark Reade, fixed income analyst at Mizuho Securities Asia, discusses the global bond market and where to find yield. He speaks to Manus Cranny and Angie Lau on "Bloomberg Markets Middle East."
Bloomberg
BOJ Overshadows Fed Ahead of Meetings
Sept. 15 -- Speculation about a shift in Japanese monetary policy is changing the shape of bond markets around the world. Bloomberg's Paul Dobson reports on "Bloomberg Markets."
Bloomberg
Alessio de Longis Sees U.S. Past Peak of Business Cycle
Sept. 15 -- Alessio de Longis, portfolio manager at OppenheimerFunds, examines a 0.4 percent decline in U.S. industrial production in August and explains why he does not see the Federal Reserve hiking interest rates in 2016. He speaks on...
Bloomberg
Rick Rieder: Credit Only Game in Town for Issuance
Sept. 16 -- Rick Rieder, global chief investment officer of fixed income at BlackRock, examines the surge in corporate debt issuance and investors' demand for high-yield debt. He speaks with Bloomberg's Alix Steel on "Bloomberg ‹GO›."
Bloomberg
The Yellen Effect: Markets and a High-Pressure Economy
Oct. 17 -- Federal Reserve Chair Janet Yellen reassured investors on Friday that U.S. interest rates will rise slowly while citing "plausible ways" growth trends could be repaired by running the economy hot. Bloomberg's Michael McKee...
Bloomberg
Goldman's Swell: 'Crisis of Confidence' in U.K. on Brexit
Oct. 11 -- Mike Swell, co-head of global portfolio management of fixed income at Goldman Sachs Asset Management, discusses the Brexit "crisis of confidence" he sees in the U.K. and examines Japanese bonds. He speaks on "Bloomberg...
Bloomberg
The Economic Signals Behind the Global Bond Selloff
Oct. 28 -- Vassili Serebriakov, FX strategist at Credit Agricole, examines the economic and inflationary signals behind the global bond selloff. He speaks on "Bloomberg Daybreak: Americas."
Bloomberg
Oil Key to TSX Outperformance in 2017
Dec.22 -- Manulife Investments Chief Investment Strategist Philip Petursson joins Danielle Bochove to discuss his outlook for equities in North America in 2017.
Bloomberg
More Market Volatility Ahead?
Oct. 21 -- JPMorgan Asset Management Global Market Strategist David Lebovitz discusses market volatility and his investment thoughts. He peaks on "Bloomberg Markets."
Bloomberg
'Still Great Deal of Downside Protection in Bonds'
Jan.05 -- 'Still Great Deal of Downside Protection in Bonds'Marc Goldfried, Chief Investment Officer, Canoe Financial joins Mark Bunting to discuss whether he thinks we're facing the end of the bull market in bonds.
Bloomberg
Citigroup Strategist Believes U.S. Yield Curve Steepens
Feb.15 -- Jabaz Mathai, head of U.S. rates strategy at Citigroup, explains why he believes the U.S. yield curve will steepen as he expects the Federal Reserve to hike rates twice in 2017. He speaks on "Bloomberg Daybreak: Americas."
Bloomberg
Add Risk to Bonds on Yield Curve Inversion, Sit's Doty Says
Mar.25 -- Bryce Doty, senior vice president at Sit Fixed Income, and Sylvia Jablonski, head of capital markets and institutional strategy at Direxion Investments, discuss investment strategies for bond and equity markets following the...
Bloomberg
Fed's Kaplan Says Inverted Yield Curve Limits Flexibility
Dec.19 -- Federal Reserve Bank of Dallas President Robert Kaplan talks about the dangers of overshooting full employment and the consequences of an inverted yield curve. He speaks with Bloomberg's Michael McKee on "Bloomberg Daybreak:...
Bloomberg
U.S. Treasury Yields Have More Downside Ahead, HSBCs Kettner Says
Dec.19 -- Max Kettner, multi-asset strategist at HSBC, discusses his outlook for the U.S. economy and Treasury yields. He speaks with Bloomberg's Matt Miller on "Bloomberg Surveillance."
Bloomberg
JPMorgan Asset CIO Sees Opportunities Local Asian Bond Markets
Feb.18 -- Bob Michele, chief investment officer and global head of fixed income at JPMorgan Asset Management, talks about the global economy, central banks' policies, and financial markets. He speaks with Haidi Stroud-Watts and Sophie...
Bloomberg
Economist DeQuadros Thinks People Are Watching the Wrong Yield Curve
Apr.23 -- Conrad DeQuadros, senior economist and founding partner at RDQ Economics, examines how Federal Reserve policy and the yield curve are impacting markets. He speaks on "Bloomberg Surveillance."
Bloomberg
Europe Is Our Least Favorite Region, Says State Street’s Veitmane
Apr.05 -- Marija Veitmane, senior multi-asset strategist at State Street, discusses the German economy, European stocks and European banks. She speaks on “Bloomberg Markets: European Open.”
Bloomberg
Inverted Yield Curve Is Signaling a Period of Softer Growth, Says UBS’s Wyatt
Mar.25 -- Philip Wyatt, APAC economist at UBS Global Wealth Management CIO Office, discusses the inverted yield curve and what it’s signaling for the global economy. He speaks on “Bloomberg Markets: China Open.”
Bloomberg
Markets Price In a Fed Rate Cut and a Soft Landing
May.16 -- Tony Dwyer, chief market strategist at Canaccord Genuity, George Rusnak, co-head of global fixed income at Wells Fargo Investment Institute, and Alessio de Longis, portfolio manager at OppenheimerFunds, discuss market...