US Asks to Keep Collecting Trump’s New Tariffs After Court Loss
US asks to maintain Trump tariff collections after court loss, escalating trade policy uncertainty and weighing on equities while boosting bonds and…
US asks to maintain Trump tariff collections after court loss, escalating trade policy uncertainty and weighing on equities while boosting bonds and…
Goldman and Bank of America delay Fed rate-cut forecasts as robust inflation and jobs data force a hawkish repricing that lifts the…
Goldman Sachs and BofA delay Fed cut calls after robust US jobs data, unleashing a bond sell-off that lifts Treasury yields and…
Verizon launches a US dollar investment-grade bond offering to refinance debt, tapping robust corporate credit demand.
Rolls-Royce taps rare euro bond market to fund war buffers, stoking defense spending optimism and lifting shares amid geopolitical tailwinds for aerospace…
ECB expected to deliver two 25bps rate hikes in 2026 after inflation overshoots, driving EUR/USD higher and lifting Eurozone bond yields.
Bond traders brace for inflation data and the end of Powell's Fed era, driving risk repositioning in rates and currency markets.
Pimco's chief investment officer warns that an Iran war-driven oil price surge could force the Federal Reserve to raise interest rates, threatening…
Trump’s tariffs sustain trade tensions, spurring safe-haven demand and weighing on risk-sensitive assets like stocks and commodity currencies.
Federal Reserve calls private credit redemption risks manageable, easing concerns over the $1.7 trillion market.
Fed’s Goolsbee keeps all rate options open, leaving stocks lower and Treasuries steady as traders brace for a data-dependent policy path.
Dangote Group targets more dollar-denominated bond sales to fund refinery and infrastructure growth, tapping EM credit appetite.