Bank of Canada Holds Rate at 4.75%, Flags Weak Economy; Canadian Bonds Rally
Canadian bonds surged after the Bank of Canada held rates and pointed to economic softness, fueling expectations that the next move could…
Canadian bonds surged after the Bank of Canada held rates and pointed to economic softness, fueling expectations that the next move could…
Treasuries rallied and oil prices tumbled further as investors positioned before a key bond auction, with falling energy costs reducing inflation fears.
Citi predicts rates volatility will tumble during World Cup season, recommending short volatility trades as trading activity slows.
Vanguard’s Paul Malloy predicts municipal bond yields will bolster market performance in the second half of 2026, driven by attractive tax-equivalent returns…
Japanese pension funds' record foreign bond purchases in May highlight a structural capital outflow that weakens the yen and lifts global bond…
Emerging market long bonds are expected to miss out on any Iran peace dividend as rate-sensitive positioning keeps the asset class focused…
Prepaid energy bonds tied to Google's commitments see surging muni demand, underscoring strong risk appetite for structured municipal credit.
Carmignac sees central banks embracing higher inflation as deficits balloon, upending traditional bond and currency markets.
Philippine Treasury announces sale of 25 billion pesos in 2034 bonds, highlighting government borrowing needs and potential impact on local debt and…
Apollo's James Zelter predicts investment-grade corporate bond sales will top US Treasury issuance, highlighting corporate America's growing borrowing appetite and a potential…
DoubleLine’s Cohen warns AI-driven exuberance is creating a bubble in credit markets, threatening high-yield bonds as overleveraged AI companies face potential defaults.
Insight Investment pours into UK bonds at 6% yields, betting on a rebound in battered gilts as institutional money spots value.