BlackRock Inc. remains "pro-risk," namely on overweight U.S. stocks, but sees surging longer Treasury yields as one of three ...
Long-term return expectations drop across major asset classes, and some firms are now forecasting higher returns for bonds ...
Both good and bad reasons are probably pushing up U.S. yields: economic resilience, but also growing uncertainty about the longer-term outlook for interest rates and inflation. And when U.S. rates go ...
Dow, S&P 500, and Nasdaq futures are falling in premarket trading Monday as the stock market considers a lack of Fed rate cuts in the coming year.
Economic cost of L.A. wildfires expected to keep rising, Bezos suffers rocket launch setback in space race with Musk, more ...
As markets opened this morning, the pound headed towards the $1.21 mark, the lowest level since November 2023. UK borrowing ...
Emerging market countries and companies have issued a flood of bonds topping $55 billion, the most in years, as borrowers ...
Bond markets struggled to stabilise with the rally in oil, upbeat U.S. payrolls and the government supply wave taking its toll, Commerzbank Research said, adding that a change in dynamics seems ...
One of the best, and maybe only ways, for the US to arrest its spiral of deficits and debt is a new bipartisan fiscal ...
The selloff in government debt is making it costlier to borrow, jarring stocks and pressuring indebted countries.
Economists polled by The Wall Street Journal said outbound shipments likely rose 7.4% on year in December, accelerating from November, in part to due to front-loading of exports ahead of U.S. tariffs.
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