By Nikolaj Schmidt, Chief International Economist, T. Rowe Price. Recently, we have seen the 10-year US government bond rise above 5 per cent again, while...
From the BlackRock Investment Institute • We see more pressure on risk assets in the near term given the major escalation in global trade tensions....
Elizabeth Moran takes a look at the new BOQ Tier 2 subordinated debt issue and compares it to the recent Judo Bank and QBE...
When markets inevitably change course, risks and opportunities reset, with one investor’s new opportunity another’s pitfall. This is the essence of a dynamic market...
By Bas van Geffen, CFA, Senior Macro Strategist, RaboResearch Just like 2022 was the year of the global hiking cycle and 2023 was the year...
Shan Kwee, CFA, Portfolio Manager in the Janus Henderson Australian Fixed Interest Team, discusses how despite a tough 2022, opportunities still exist in credit...
Elizabeth Moran takes a look at BetaShares' new Interest Rate Hedged Australian Investment Grade Corporate Bond ETF (HCRD) and suggests some advantages and disadvantages.  It’s...
US financial markets are watched closely given the US dollar is still considered the world’s safe haven currency. Recently, Fitch downgraded the sovereign’s credit...
Good data is bad More precisely, bad news for risky assets. This has become (yet again) evident after the market's recent response to the strong...
Central Banks Yet To Win Battle Against Inflation, Interest Rate Hikes Likely To Continue Global economic activity has proved stronger than seemed likely at the...

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