The yield gap between the S&P 500 and Treasurys is the widest it's been since 2002, highlighting the stock market's lost ...
The performance of the U.S. corporate bond market in the first quarter of the year was generally flat, though there were notable distinctions between the high-grade and high-yield sectors.
This fund provides a well-constructed portfolio of investment-grade U.S. bonds, warranting an Above Average Process rating. The fund utilizes stratified sampling to approximate the performance of ...
October 2024 marked a year since the end of the worst bond market performance in recent history. While the market has since rebounded, the same major risks still exist. What lessons can investors ...
The investment seeks to track the performance of a broad market-weighted bond index. The fund employs an indexing investment approach designed to track the performance of the Barclays Capital U.S ...
The US bond market is off to a tough start in 2025. This has been reflected in spiking yields, which trade inverse to the price of bonds. On Friday, US Treasury yields surged to their highest ...
(Bloomberg) -- Catastrophe-bond issuance rose to a record this year, increasing the overall market to almost $50 billion, as insurers transferred more risk from costly climate disasters to private ...