Bain Capital CLO Default Shakes European Credit Market in Post-2008 First
Bain Capital's CLO tranche default triggers flight to safety in Bunds and jolts European credit markets for the first post-2008 default, raising…
Bain Capital's CLO tranche default triggers flight to safety in Bunds and jolts European credit markets for the first post-2008 default, raising…
The Bank of Russia's smaller-than-expected rate cut buoyed the ruble and weighed on Russian bonds as markets repriced monetary easing expectations amid…
UK gilts declined as Andy Burnham's election victory and rallying oil prices sparked a sell-off, pushing yields up amid fears of bloated…
Goldman Sachs slashes its gold price target by $500 on expectations of zero Fed rate cuts this year, signaling downside pressure on…
Kenya's $763 million bond plan emerges after lawmakers watered down tax-hike proposals, signaling heavier debt reliance that could weigh on the nation's…
A Bloomberg Markets Pulse survey forecasts the US 30-year Treasury yield will end 2026 at 5.09%, a level last seen in 2010,…
US bond futures surged to push market-implied probabilities of a July Fed rate hike higher, signaling a repricing of monetary policy expectations…
Record $21 billion in water bond sales boosted muni ETF MUB, with robust demand overshadowing supply concerns from anticipated federal budget cuts.
ECB's Lane pegs neutral rate upper bound at 2.5%, signaling a structural shift that could slow the pace of monetary easing and…
Goldman Sachs projects a spike in two-year Treasury volatility alongside subdued moves in long-dated bonds, driven by Kevin Warsh’s perceived policy stance…
US 10-year yield drops 6 bps to 4.32% as bond market recovers from Warsh-driven rout on dovish data.
The new Fed Chair’s hawkish inflation stance drove U.S. Treasury yields higher as bond traders priced in an extended tightening cycle.