Bloomberg
Credit Spreads Could Widen Out From Here: UBP's Nip
Anitza Nip, head of fixed income research Asia at Union Bancaire Privee, discusses bond market volatility, the risk of a recession in the US and where she's finding opportunity. She speaks on Bloomberg Television.
Bloomberg
What's Right: Equity or Bond Markets?
What's right: equity or bond markets? That was Monday's question of the day posed to Callie Cox, eToro US Investment Analyst, by Alix Steel on "Bloomberg Markets: Americas."
Bloomberg
Fed Won't Be Cutting Rates in 2023: BlackRock's Petersen
Ann-Katrin Petersen, BlackRock Investment Institute senior investment strategist, says she prefers emerging-market equities given the diverging earnings trends and also likes the short end in government bonds. She speaks with Guy Johnson...
Bloomberg
Bond Yields Can Go Quite a Bit Lower: Julius Baer's Matthews
Mark Matthews, head of Asia research at Julius Baer, discusses the current bond rally, Federal Reserve policy and his investment strategy. He speaks on Bloomberg Television.
Bloomberg
JPMorgan's Feroli Expects US to Create 200k Jobs in March
JPMorgan Chief US Economist Michael Feroli says his firm expects to see 200,000 jobs created in the March US Payrolls report. He speaks on "Bloomberg Markets."
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Muni Issuance Low Amid Strong Demand: Thornburg's Lando
Thornburg Investment Management Portfolio Manager Eve Lando says municipal bond issuance has been a bit lower than expected amid demand that is "quite strong." She speaks with Katie Greifeld and Romaine Bostick on "Bloomberg Markets: The...
Bloomberg
Duration Is Still a Play Medium-Term: OCBC's Menon
Vasu Menon, executive director of investment strategy at OCBC Bank Wealth Management, discusses the Reserve Bank of New Zealand's decision to raise interest rates by 50-basis points, bond yields and his investment strategy. He speaks on...
Bloomberg
China's Megabanks Plan Funding Spree
China's top megabanks are planning at least $5.8 billion in bond sales, kicking off a major funding push to comply with global capital requirements by early 2025. Charlie Zhu reports on Bloomberg Television.
Bloomberg
Banks Seen Skipping Additional Tier 1 Calls in Wake of Credit Suisse Shock
Bloomberg Intelligence sees banks avoiding the Additional Tier 1 debt market in the wake of the Credit Suisse Group AG shock. Meanwhile, JPMorgan Chase & Co. and Wells Fargo & Co. are among the companies that are scheduled to report...
Bloomberg
Fixed Income Preferred Over Equities, JPMorgan's Hui Says
Tai Hui, chief Asia market strategist at JPMorgan Asset Management, discusses Federal Reserve policy and the implications for financial markets and Asian central banks. He speaks with Haidi Stroud-Watts and David Ingles on "Bloomberg...
Bloomberg
China Said to Review Bond Underwriting Practices
China's regulators are stepping up efforts to address underwriting problems that have long plagued the country's fixed-income market, according to people familiar with the matter. Charlie Zhu reports on Bloomberg Television.
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BlackRock's Seth: I Like Front End of the Yield Curve
Neeraj Seth, chief investment officer and head of Asian credit at BlackRock Inc., discusses Federal Reserve policy, the yield curve and his investment strategy. He speaks on Bloomberg Television.
Bloomberg
Muni Bonds Poised to Do Really Well: Neuberger's Iselin
Jamie Iselin, Neuberger Berman's head of municipal fixed income, explains why he thinks muni bonds are attractive right now on "Bloomberg Markets: The Close."
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Fed to Raise Rates in May, Then Hold: Strategist Mahajan
Edward Jones Senior Investment Strategist Mona Mahajan says equity markets can't "whistle past the graveyard" of the looming economic softening and expects volatility ahead. She speaks with Alix Steel and Guy Johnson on "Bloomberg...
Bloomberg
Treasury Yields to Come Down Gradually, Mainly in Second Half, HSBC's Major Says
Steven Major, global head of fixed income research at HSBC, discusses the outlook for inflation, US interest rates and Treasury yields. He speaks on "Bloomberg Markets: Europe."
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Bonds Mispricing Fed Policy Path: Morgan Stanley's Caron
"The Fed wants to keep rates as high as possible for as long as possible," Morgan Stanley Global Balanced Funds co-CIO Jim Caron says during an interview with Jonathan Ferro on "Bloomberg The Open."
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Key Takeaways From Bank of America, Goldman Sachs Earnings
A big day for bank earnings. Bloomberg's Sonali Basak reports on results from Goldman Sachs and Bank of America.
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Debt for Nature Swaps
Debt-for-nature swaps have been around since the 1980's. With the Climate Crisis getting worse - non-profits and Wall Street are teaming up to use the complex financial instrument to refinance the sovereign debt of developing nations and...
Bloomberg
Fed Won't Cut Rates Until Q1 Next Year, BNP's Tse Says
Calvin Tse, BNP Paribas head of Americas macro strategy, expects a "quite significant steepening" in the shape of the US yield curve driven by a rally in the front end. He speaks during an interview with Jonathan Ferro on "Bloomberg The...
Bloomberg
HSBC's Major: Difficult to See UST 10Y Yield at 4% Again
Steven Major, global head of fixed income research at HSBC, says 10-year US Treasury yields in the 3.56%-3.75% range are a "good entry level" for bond investors. "I think it's very difficult to imagine us getting back to 4% on the...
Bloomberg
Recession Is on the Way, Longview's Watling Says
Longview Economics Chief Market Strategist Chris Watling says an imminent recession needs to be priced into markets on "Bloomberg Markets: European Close."
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Milken Doesn't See Deeper Troubles in Financial System
"It's interest-rate losses, it's not credit losses, that are rolling through." Michael Milken, founder of the Milken Institute, shares his views on the banking crisis and the bond market. He speaks with Haslinda Amin on "Bloomberg...
Bloomberg
Norway's Sovereign Wealth Fund Returns 5.9% in Quarter
Norway Sovereign Wealth Fund Deputy CEO Trond Grande discusses the fund's returns of $84 billion in the first quarter on "Bloomberg Surveillance Early Edition."
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Bank Crisis to Cause Systemic 'Ripples': Morgan Stanley
Morgan Stanley Wealth Management CIO Lisa Shalett comments on what a credit contraction might mean for the US economy during an interview with Jonathan Ferro on "Bloomberg The Open."
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