After an above average January, fixed income posted another strong monthly return in February. The FTSE US Broad Investment ...
As tariff announcements garner huge amounts of media attention, financial market reactions have been muted. Participants are ...
Economic data largely moved sideways in February, but the threat of tariffs on major U.S. trading partners injected new ...
By incorporating global bonds into their portfolios, businesses can create a more resilient financial strategy, ensuring ...
Below, we outline the top equity, bond, fixed income, commodities, and currency ETFs that generated the highest returns over the last month. We have excluded leveraged and inverse ETFs, as well as ...
The process incorporates macroeconomic scenarios developed by multiple Insight portfolio managers and bottom-up issue selection that draws from almost 100 fixed ... out bond and currency decisions ...
State Street Global Advisors sees robust demand for bond strategies as sector funds, notably tech ETFs, fall out of favor.
This strategy trades hundreds of markets across four asset classes: equities, fixed income, currencies, and commodities. The strategy’s time horizons for measuring trends vary from one month to ...
The right move for fixed-income investors in 2022 was to focus ... While it has higher credit and currency risk, investors are compensated with a higher 7.2% yield to maturity.
0206 GMT — Most Asian currencies weaken against dollar in the morning session, facing pressure from largely higher Treasury yields, which usually increases the allure of U.S. fixed-income assets ...