Tag: Bonds
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Treasury 2-year yield post-Fed spike ‘exaggerated’ or is there room for more? Strategists weigh in
Markets pushed up short-term Treasury yields after Kevin Warsh’s first Fed meeting, though strategists disagreed on whether the move signals a lasting shift toward tighter policy.
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Wells Fargo says investors need to prioritize income. Where it sees opportunity
Here’s how Wells Fargo would build a “resilient, multi-asset class income stream.”
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Treasury yields inch higher as investors await Fed interest rates decision
The yield on the 10-year U.S. Treasury note — the key benchmark for U.S. government borrowing — rose over 1 basis point to 4.439%.
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Nvidia raises €21.5bn in first bond sale since 2021 on AI demand
Nvidia has returned to the corporate debt market for the first time in five years, pricing a $25 billion (€21.5bn) bond sale that drew roughly $85 billion (€73.2bn) in orders, a sign of investors’ strong appetite for exposure to AI.
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Treasury yields fall ahead of Kevin Warsh’s first Fed meeting
The yield on the 10-year U.S. Treasury note — the key benchmark for U.S. government borrowing — fell over 2 basis points to 4.449%.
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‘Investor confidence high’: Indonesia touts Danantara bond success amid recent market turbulence
Ministers highlight Indonesia’s efforts to strengthen its investment climate as sovereign wealth fund Danantara raises US$1.5 billion in its debut international bond offering.
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How the World Cup spending boom is also an opportunity for income investors
World Cup host cities turned to municipal bonds to finance the expanded infrastructure needed to accommodate the games. Where Nuveen sees opportunities.
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Treasury yields slide as Iran deal drives rethink on Fed interest rate hikes
The yield on the 10-year U.S. Treasury note — the key benchmark for U.S. government borrowing — fell over 4 basis points to 4.441%.
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Treasury yields slide further as traders monitor potential U.S-Iran peace deal
Treasury yields fell Friday as traders monitor prospects of a lasting resolution to the Middle East war.
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Pimco is warning about a spike in defaults — How it says income investors should position portfolios
Pimco is warning fixed-income investors to stay away from lower-quality credit, but sees plenty of opportunities in high-quality assets.
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