#corporate-bond-spreads

[ follow ]
Business
from24/7 Wall St.
16 hours ago

Bonds are Taking a Hit. A Steadier Place to Diversify Further

Bond funds face challenges due to potential Fed rate hikes and escalating geopolitical tensions, impacting consumer inflation and investment strategies.
#federal-reserve
US Elections
fromnews.bitcoin.com
21 hours ago

Federal Reserve Set to Hold Rates as Markets Fully Price out 2026 Cuts

Fed funds futures indicate a 99.5% chance the Fed maintains rates at 3.50%-3.75% during the April 29 FOMC meeting.
Left-wing politics
fromHarvard Gazette
4 days ago

Powell issues a warning on U.S. debt - Harvard Gazette

Federal Reserve Chairman Jerome Powell emphasizes a cautious approach to economic impacts from the Iran war while maintaining a commitment to a 2% inflation target.
World politics
fromFortune
6 days ago

Jerome Powell says $39 trillion national debt is 'not unsustainable,' but warns the trajectory 'will not end well' | Fortune

America's $39 trillion debt is manageable short-term, but its growth trajectory is unsustainable and requires urgent legislative action.
US Elections
fromnews.bitcoin.com
21 hours ago

Federal Reserve Set to Hold Rates as Markets Fully Price out 2026 Cuts

Fed funds futures indicate a 99.5% chance the Fed maintains rates at 3.50%-3.75% during the April 29 FOMC meeting.
Left-wing politics
fromHarvard Gazette
4 days ago

Powell issues a warning on U.S. debt - Harvard Gazette

Federal Reserve Chairman Jerome Powell emphasizes a cautious approach to economic impacts from the Iran war while maintaining a commitment to a 2% inflation target.
World politics
fromFortune
6 days ago

Jerome Powell says $39 trillion national debt is 'not unsustainable,' but warns the trajectory 'will not end well' | Fortune

America's $39 trillion debt is manageable short-term, but its growth trajectory is unsustainable and requires urgent legislative action.
Europe news
fromwww.theguardian.com
22 hours ago

It's all fear and headlines': energy traders race to keep pace with volatile oil markets

Energy traders faced significant losses and volatility due to the conflict in the Middle East affecting oil and gas prices and supply routes.
fromnews.bitcoin.com
1 day ago

Hormuz Blockade Sends Japan's 10-Year Bond Yield to 25-Year High

The 10-year Japanese government bond yield reached 2.38% to 2.39% by early April 2026, topping levels not seen in over two decades and clearing the 2008 financial crisis peak by roughly 30 basis points.
World news
Fundraising
from24/7 Wall St.
2 days ago

MSFW Has Lost 34% Since Launch While Promising 30% Yields

Leverage in the Roundhill MSFT WeeklyPay ETF has led to significant losses, undermining the appeal of its high yield.
World politics
fromAxios
3 days ago

Jamie Dimon's warning: More geopolitical risk for America than since WWII

Business leaders must engage more actively in societal issues, as political solutions alone are insufficient.
fromFast Company
4 days ago

Kalshi's new campaign in D.C. is an ad for everything wrong with prediction markets

Kalshi's ads emphasize that it bans insider trading and does not engage in death bets, aiming to reassure observers about the integrity of its market operations.
Marketing tech
Artificial intelligence
fromFortune
4 days ago

'Inflationary surge': Fed economists warn AI hype is overheating the economy whether or not the technology ever delivers | Fortune

AI optimism may hinder productivity and contribute to short-term inflation as households and businesses react to perceived future gains.
#jpmorgan
Media industry
fromwww.businessinsider.com
4 days ago

Jamie Dimon says JPMorgan could do prediction markets with big guardrails

JPMorgan is considering entering prediction markets with strict regulations and compliance controls, focusing on informed trading rather than gambling.
Business
from24/7 Wall St.
1 day ago

Beyond JEPI: 3 Covered Call ETFs Quietly Outperforming JPMorgan's Crown Jewel in 2026

JPMorgan Equity Premium ETF is a leading covered call ETF, but competitors offer specific advantages for different investor needs.
Media industry
fromwww.businessinsider.com
4 days ago

Jamie Dimon says JPMorgan could do prediction markets with big guardrails

JPMorgan is considering entering prediction markets with strict regulations and compliance controls, focusing on informed trading rather than gambling.
Business
from24/7 Wall St.
1 day ago

Beyond JEPI: 3 Covered Call ETFs Quietly Outperforming JPMorgan's Crown Jewel in 2026

JPMorgan Equity Premium ETF is a leading covered call ETF, but competitors offer specific advantages for different investor needs.
#dividend-stocks
Business
from24/7 Wall St.
2 days ago

5 Big-Name Stocks That Pay 5% Dividends Wall Street Loves

Dividend stocks provide reliable passive income and solid total returns, making them attractive investments for many individuals.
Business
from24/7 Wall St.
4 weeks ago

Bond Yields Are Getting Slashed - These Dividend Stocks Are the Smarter Play Right Now

Dividend-paying stocks offer superior return potential compared to 4% Treasury bond yields through combined dividend payments and share-price appreciation.
Business
from24/7 Wall St.
14 hours ago

2 High-Yield Dividend Stocks Yielding Over 6% That'll Pay You to Wait

Consider investing in undervalued dividend stocks as volatility and inflation rise.
Business
from24/7 Wall St.
11 hours ago

What Schwab U.S. Dividend Equity's New Dividend Means for Investors

Dividend stocks have outperformed growth stocks in 2026, with increased investor interest in reliable income sources.
Business
from24/7 Wall St.
2 days ago

5 Big-Name Stocks That Pay 5% Dividends Wall Street Loves

Dividend stocks provide reliable passive income and solid total returns, making them attractive investments for many individuals.
Business
from24/7 Wall St.
4 weeks ago

Bond Yields Are Getting Slashed - These Dividend Stocks Are the Smarter Play Right Now

Dividend-paying stocks offer superior return potential compared to 4% Treasury bond yields through combined dividend payments and share-price appreciation.
fromPOLITICO
4 days ago

How prediction markets landed in Congress' crosshairs

"There seems to be a growing consensus that the status quo is unsustainable," said Rep. Ritchie Torres, a New York Democrat who was an early entrant into Congress' prediction market debate.
US politics
Startup companies
from24/7 Wall St.
6 days ago

Stock Market Crash Likely Won't Hurt 5 Safe High-Yielding Dividend Kings

Dividend Kings are essential for passive income investors due to their long history of reliable dividend increases.
London politics
fromwww.bbc.com
1 week ago

Traders in limbo as market closes over crime fears

Traders face uncertainty as an indoor market in east London closes due to crime concerns raised by the Metropolitan Police.
fromLondon Business News | Londonlovesbusiness.com
3 days ago

US dollar rose amid a rebound in geopolitical concerns - London Business News | Londonlovesbusiness.com

The US dollar returned to the upside as geopolitical fears rebounded after US President Trump's address to the nation. The rhetoric fuelled risk aversion and flows toward the dollar while oil prices surged.
US Elections
fromLondon Business News | Londonlovesbusiness.com
5 days ago

US dollar stable near recent highs - London Business News | Londonlovesbusiness.com

Escalating geopolitical risk continued to dominate global markets' concerns, with safe-haven demand keeping the dollar index anchored near a multi-week high.
World politics
from24/7 Wall St.
1 day ago

Retirees Love This Treasury ETF Until They See the 5 Year Price Chart

TLT holds U.S. Treasury bonds with remaining maturities greater than 20 years, collecting fixed semi-annual coupons that are passed through as monthly distributions.
Retirement
US Elections
fromwww.cbc.ca
3 days ago

Wall Street set for lower open after Trump's comments dent Iran resolution hopes | CBC News

Wall Street indexes are set for a lower open due to increased military tensions in the Middle East, impacting oil prices and market sentiment.
fromLondon Business News | Londonlovesbusiness.com
4 days ago

Markets remain nervous as Iran threatens to attack US blue-chip companies - London Business News | Londonlovesbusiness.com

Warning to the invading American ruling establishment and its affiliated spy companies. You ignored our repeated warnings about the necessity of halting terrorist operations, and today, in terrorist attacks carried out by you and your Israeli allies, a number of Iranian citizens were martyred.
World news
Business
fromnews.bitcoin.com
5 hours ago

Gold Loses 15% From War Highs as Operation Epic Fury Safe Haven Trade Unwinds

Gold fell to $4,623.93/oz after strong job data, while silver remained above $73.75/oz due to industrial demand.
US Elections
fromFortune
3 days ago

Prediction markets have sparked a golden age of insider trading-but the party may be coming to an end | Fortune

Insider trading in prediction markets has surged, raising concerns about unethical betting practices and lack of regulatory oversight.
Retirement
from24/7 Wall St.
3 days ago

Why RWR's 3.4% Yield Looks More Durable Than Most Investors Realize

The SPDR Dow Jones REIT ETF offers a 3.4% dividend yield backed by over 100 REITs, raising questions about income stability across rate cycles.
#stock-market
World news
from24/7 Wall St.
4 days ago

Stock Market Live April 1, 2026: S&P 500 (SPY) Rockets on End of War Hopes

Major stock indices rise amid hopes of ending the war with Iran, while oil prices drop and tech companies face threats from Iran.
Business
from24/7 Wall St.
3 days ago

Here Are Thursday's Top Wall Street Analyst Research Calls

Stock markets rallied due to hopes for peace in Iran and positive economic data, with major indices closing higher.
Business
fromnews.bitcoin.com
5 days ago

Global Markets Rise as Trump and Iran Signal End to Military Operations

U.S. stock markets rallied due to hopes of de-escalation in the Iran conflict, despite a challenging first quarter for equities.
World news
from24/7 Wall St.
4 days ago

Stock Market Live April 1, 2026: S&P 500 (SPY) Rockets on End of War Hopes

Major stock indices rise amid hopes of ending the war with Iran, while oil prices drop and tech companies face threats from Iran.
Business
from24/7 Wall St.
3 days ago

Here Are Thursday's Top Wall Street Analyst Research Calls

Stock markets rallied due to hopes for peace in Iran and positive economic data, with major indices closing higher.
Business
fromnews.bitcoin.com
5 days ago

Global Markets Rise as Trump and Iran Signal End to Military Operations

U.S. stock markets rallied due to hopes of de-escalation in the Iran conflict, despite a challenging first quarter for equities.
from24/7 Wall St.
3 weeks ago

The S&P 500's 1.5% Selloff Is Driven By A Few Key Factors

Under the surface of soaring crude prices is the realization that the likelihood of Fed cuts later this year is quickly dwindling. Oil dominated the session. WTI crude has surged 33% over the past week, and Thursday added another 9.7% as Iran's new Supreme Leader Mojtaba Khamenei vowed to keep the Strait of Hormuz closed.
US news
#covered-call-etfs
from24/7 Wall St.
3 weeks ago
E-Commerce

Goldman Sachs Engineered a QYLD Competitor Yielding Over 10%

GPIQ and QYLD both use covered call strategies on the Nasdaq-100, but GPIQ offers lower costs and potentially better execution, while QYLD sacrifices capital appreciation for consistent high income distributions.
from24/7 Wall St.
4 days ago
Business

If You Sense a Recovery, Forget JEPI and Buy This Covered Call ETF Instead

Different covered call ETFs yield varying outcomes based on stock selection, portfolio coverage, and focus on income versus growth.
Business
from24/7 Wall St.
4 days ago

If You Sense a Recovery, Forget JEPI and Buy This Covered Call ETF Instead

Different covered call ETFs yield varying outcomes based on stock selection, portfolio coverage, and focus on income versus growth.
from24/7 Wall St.
3 days ago

USHY Yields 6.58% While VIX Sits at the 96.5th Percentile, A Risky Tradeoff

USHY seeks to track the investment results of the ICE BofA US High Yield Constrained Index, composed of U.S. dollar-denominated, high yield corporate bonds, providing broad exposure in a low-cost wrapper.
Business
Retirement
from24/7 Wall St.
6 days ago

There is A Weekly Income T-Bill ETF That No One Knows About, But It's Beating Money Markets

TreasuryDirect is unpopular due to its outdated interface, leading investors to prefer alternatives like money market funds and the Roundhill Weekly T-Bill ETF.
from24/7 Wall St.
2 days ago

How Income Investors Are Using HYBL to Dodge Interest Rate Risk in 2026

HYBL attempts to solve the income problem by combining senior loans, high-yield corporate bonds, and debt tranches from U.S. collateralized loan obligations (CLOs). The result is a portfolio with lower duration and lower volatility compared to traditional high-yield funds, while still targeting high current income with monthly distributions.
Business
#dollar
from24/7 Wall St.
1 day ago

The Best ETFs For $100 Oil To Buy Right Now

The Energy Select Sector SPDR Fund (XLE) is the most widely held energy ETF in the U.S., with roughly $38 billion in net assets, spanning the full energy value chain.
Business
fromFortune
6 days ago

Bond yields are falling even as oil tops $102, showing that Wall Street fears recession more than inflation | Fortune

"Oil prices are higher again this morning, but Treasury yields are lower as the risks to economic growth begin to take precedence over the risks to inflation," Oxford Economics said in a note on Monday.
World news
Real estate
fromwww.housingwire.com
1 month ago

The 200-Basis-point gap: Why many lenders are leaving money on the table

A persistent 200 basis point performance gap between top and bottom tier lenders reflects structural industry inefficiency, not cyclical conditions, with top lenders earning 139 basis points while bottom lenders lose 70 basis points.
Business
from24/7 Wall St.
2 days ago

These 4 High-Yield ETFs Promise Big Payouts, but Only 1 Looks Truly Safe

Different ETFs offer varying income sources and sustainability, with distinct risks and yields.
#financial-markets
World news
fromReadWrite
5 days ago

Experts say geopolitical trades test limits of insider trading laws

Unusual trading patterns before Trump's Iran announcement raise questions about market integrity and the adequacy of current regulations.
World news
fromReadWrite
5 days ago

Experts say geopolitical trades test limits of insider trading laws

Unusual trading patterns before Trump's Iran announcement raise questions about market integrity and the adequacy of current regulations.
Business
from24/7 Wall St.
1 day ago

These Energy ETFs Yield Over 5%, And Are Perfect For Spiking Energy Prices

WTI crude oil prices have surged significantly, and Alerian MLP ETF offers substantial yields with exposure to midstream energy infrastructure.
from24/7 Wall St.
2 weeks ago

2 Short Duration Bond ETFs That Beat Your Savings Account

SPTI holds U.S. Treasury securities in the intermediate maturity range, offering a 3.76% dividend yield and an expense ratio of just 0.03%, making it one of the cheapest ways to own Treasury income.
Retirement
from24/7 Wall St.
2 days ago

This ETF Pays Dividends Monthly and Yields 7.3%

The fund blends high yield corporate bonds, senior loans, and debt tranches of U.S. collateralized loan obligations (CLOs) into a single actively managed portfolio, aiming to deliver income that beats the broad bond market while keeping volatility lower than any single segment on its own.
Business
from24/7 Wall St.
2 days ago

The 13% Yield Trap? Why MORT's Dividend Hike Is Masking a NAV Slide

MORT holds shares in mortgage real estate investment trusts, companies that borrow at short-term rates and invest in mortgage-backed securities or originate real estate loans. The income MORT distributes comes from the dividends paid by the underlying mREITs to their shareholders.
Business
from24/7 Wall St.
3 days ago

JPMorgan's Short-Duration JPIE Earned 15.24% Since Inception While the Bond Market Cratered

JPMorgan Income ETF has delivered over 50 consecutive monthly distributions since its October 2021 inception, providing stability that is the entire point of the investment strategy.
Business
Business
from24/7 Wall St.
2 days ago

YMAG ETF Pays Weekly but the Share Price Tells a Harder Story

Understanding the mechanics behind YieldMax Magnificent 7 Fund is essential for making informed portfolio decisions.
Retirement
from24/7 Wall St.
3 weeks ago

What Happens to Dividend Income When the Next Recession Hits

Dividends historically decline far less than stock prices during recessions, with most downturns showing only 4% average dividend declines versus 32% stock price drops, making dividend income more stable than commonly feared.
Business
from24/7 Wall St.
4 days ago

The Bond ETF Playing the Whole Field While Handing Investors Monthly Paychecks

Fidelity Total Bond ETF offers consistent monthly income with a 4.4% yield and an expense ratio of 0.36%.
Business
fromwww.businessinsider.com
2 days ago

How Wall Street tries to keep junior hours in check, from weekly guidelines to 'pencils down' periods

JPMorgan CEO Jamie Dimon predicts a future of 3.5-day work weeks, yet junior bankers currently endure grueling hours exceeding 40 weekly.
Business
from24/7 Wall St.
4 days ago

A 21% Yield With a Troubling Pattern Investors Should Not Ignore

Prospect Capital Corporation offers a high yield but faces significant losses that threaten future income and sustainability.
Business
from24/7 Wall St.
3 days ago

SPYT Promises 20% Income but IVV's 71.32% Long-Run Return Tells a Different Story

Defiance S&P 500 Target Income ETF offers high yields but limits upside potential, making it crucial to understand its structural limitations before investing.
from24/7 Wall St.
1 month ago

Interest Rates Are Heading Down - These 3 Stocks Win Big When They Do

In my view, interest rates are more likely than not going to head lower over the course of 2026 and into 2027. I'm not saying we're due for a pandemic-like selloff, but I do think that weakness in the labor market is likely more protracted than the government data suggest. As such, I do think the makeup of the Federal Reserve, and which way many of its presidents and voting members lean (toward providing support for the labor market over battling inflation) could lead to much faster rate cuts than many think.
Retirement
Business
from24/7 Wall St.
3 days ago

Wall Street Says Buy the Dip: KeyBanc Upgrades Crescent Energy Target

Crescent Energy's stock target raised to $19 by KeyBanc, indicating a strong investment opportunity despite recent pullback.
fromLondon Business News | Londonlovesbusiness.com
3 weeks ago

Dollar surges on geopolitical risks and rising yields

Crude oil breaking above the USD 100 threshold has revived inflation concerns, pushing US Treasury yields higher across the curve. However, Friday's labour market report revealed a significant deterioration in employment conditions, with the economy losing 92,000 jobs in February, its largest contraction in several months.
World news
from24/7 Wall St.
3 days ago

Wall Street Upgrades SM Energy: KeyBanc Sees Crude Selloff as Entry Point

KeyBanc's revised oil deck reflects a materially stronger crude environment than previously modeled, with dislocations in global crude and refined products expected to persist into summer.
Business
from24/7 Wall St.
4 days ago

Wall Street Bullish on Americas Gold and Silver: BMO Sees Major Re-Rate Ahead

BMO believes Americas Gold has the expertise to execute its optimization strategy, particularly at the Galena Complex, and sees the company's approach increasing free cash flow generation as production grows organically.
Business
Business
from24/7 Wall St.
5 days ago

Extreme Fear is Gripping the Market, This Is the Smart Move Most Investors Miss

Investors are panicking, leading to extreme fear in the markets, with quality stocks like Apple and Microsoft also being sold off.
Business
from24/7 Wall St.
4 days ago

VIGI Lags the Broad Market but Delivers Quality International Dividend Growth

Vanguard International Dividend Appreciation ETF focuses on companies with at least seven years of dividend growth, avoiding high-yielding, potentially risky stocks.
US news
fromLondon Business News | Londonlovesbusiness.com
2 months ago

Dow Jones pulls back sharply as yields rise and tariff risks return - London Business News | Londonlovesbusiness.com

Dow Jones' sharp sell-off reflects systemic re-pricing driven by rising Treasury yields, higher-for-longer rate expectations, and an earnings-season market focus shift.
Business
from24/7 Wall St.
4 days ago

Goldman Sachs Is Very Bullish on 5 Dividend-Paying Energy Superstars

Goldman Sachs leads in investment banking, providing top research and stock ideas, especially in the energy sector amid geopolitical volatility.
Business
from24/7 Wall St.
5 days ago

Wall Street Pro Tells Investors to Buy Mastercard Stock

Loop Capital initiates coverage of Mastercard with a Buy rating and a $631 price target, indicating potential upside despite recent stock pullback.
Real estate
from24/7 Wall St.
2 months ago

This High Yielding Stock Could Easily See Further Upside

AGNC Investment offers a 12.16% yield, recent strong price gains, and agency MBS exposure that reduces credit risk while delivering income and upside.
Business
from24/7 Wall St.
5 days ago

Wall Street Tells Scared Investors To Buy Verizon Stock

Barclays raised Verizon's price target to $47, citing a favorable macro environment for telecom despite declining pricing trends.
from24/7 Wall St.
5 days ago

Wall Street Downgrades Procter & Gamble Amid Iran War Cost Pressures and More

TD Cowen reduced estimates across the household and personal care space, arguing that companies will be unable to fully mitigate higher oil-related input costs stemming from the Iran war.
Business
#investing
Business
from24/7 Wall St.
6 days ago

3 Dividend Stocks You Can Buy Today and Forget About for the Next 20 Years

Investing in dividend stocks like Coca-Cola can build long-term wealth and provide passive income, even during economic uncertainty.
Business
from24/7 Wall St.
2 weeks ago

This 1 ETF Keeps Outrallying the SPY, While Also Losing Less During Downturns

Invesco S&P 500 Momentum ETF (SPMO) outperforms SPDR S&P 500 ETF Trust (SPY) by focusing on high momentum stocks within the same index.
Business
from24/7 Wall St.
6 days ago

3 Dividend Stocks You Can Buy Today and Forget About for the Next 20 Years

Investing in dividend stocks like Coca-Cola can build long-term wealth and provide passive income, even during economic uncertainty.
Business
from24/7 Wall St.
2 weeks ago

This 1 ETF Keeps Outrallying the SPY, While Also Losing Less During Downturns

Invesco S&P 500 Momentum ETF (SPMO) outperforms SPDR S&P 500 ETF Trust (SPY) by focusing on high momentum stocks within the same index.
Business
from24/7 Wall St.
6 days ago

5 Monthly Dividend Payers Down 21%: A Chance for Endless Cashflow?

Monthly dividend stocks provide consistent income, but rising Treasury yields increase the investment threshold for equities.
Business
from24/7 Wall St.
5 days ago

FFEM Dropped 13% in One Month as Rising Treasury Yields Drain Emerging Markets

Fidelity Fundamental Emerging Markets ETF has gained 34% in a year but faces risks from rising U.S. Treasury yields and a strengthening dollar.
Business
from24/7 Wall St.
5 days ago

Wall Street Cuts Lincoln Electric as Industrial Recovery Already Priced In

Jefferies downgraded Lincoln Electric from Buy to Hold, citing limited upside due to industrial recovery already reflected in estimates.
Business
fromFortune
6 days ago

Bill Ackman told spooked investors to get over the Iran war and buy Fannie and Freddie. Stocks surged 40% the next day | Fortune

Bill Ackman recommends buying Fannie Mae and Freddie Mac, citing their undervaluation amid market fears related to the Iran war.
Business
from24/7 Wall St.
1 week ago

PennantPark's Big Yield Is Burning Through a Finite Reserve

PennantPark Investment Corporation offers a high yield but faces challenges with income generation and dividend coverage due to interest rate sensitivity.
fromLondon Business News | Londonlovesbusiness.com
1 week ago

S&P 500 continues to face corrective pressure - London Business News | Londonlovesbusiness.com

The current pressure is largely driven by tensions in the Middle East, as signals from the U.S. and Iran remain conflicting. While the U.S. has indicated that negotiations are ongoing, Iran has firmly denied any talks, increasing uncertainty around the prospects of de-escalation.
Business
Business
from24/7 Wall St.
1 week ago

Private Credit Could Crush the Stock Market: 5 Financial Dividend Giants With Zero Exposure

Private credit poses significant risks due to leverage and debt, with potential liquidity mismatches exacerbating financial instability.
Business
from24/7 Wall St.
1 week ago

Wall Street Thinks These 5 Stocks Could Be the Next Big Winners

Market concerns over global disruptions and corporate spending on AI, but experts identify potential winning stocks.
Business
from24/7 Wall St.
1 week ago

Goldman Sachs Sees Correction Risks Rising. Here's How to Prepare for a Storm

Goldman Sachs warns of increasing risks for a market correction, with the S&P 500 down nearly 7% from its high.
Business
from24/7 Wall St.
2 weeks ago

High Yielding ECC's CLOs Are Unrated For A Risky Reason

Eagle Point Credit cut its monthly distribution significantly, reflecting underlying risks in its investment strategy involving unrated collateralized loan obligations.
Business
from24/7 Wall St.
2 weeks ago

The Closed End Fund Paying 6.7% That Rivals the S&P 500

Adams Diversified Equity Fund offers a 6.7% yield and has outperformed the S&P 500 over time.
Business
fromLondon Business News | Londonlovesbusiness.com
2 weeks ago

Where is the US Dollar Index heading amid rising bond yields? - London Business News | Londonlovesbusiness.com

The US Dollar Index strengthens due to Federal Reserve's hawkish stance, elevated Treasury yields, and geopolitical tensions, with limited rate cuts expected through 2027.
Business
fromLondon Business News | Londonlovesbusiness.com
2 weeks ago

US dollar stable after Fed decision and stronger yields - London Business News | Londonlovesbusiness.com

The dollar strengthens near 100 as the Fed maintains a cautious stance, while Treasury yields rise on reduced rate cut expectations amid higher inflation projections and Middle East tensions driving oil prices up.
Business
fromFortune
2 weeks ago

U.S. debt is competing with a record supply of corporate bonds, which is pushing up the cost of federal borrowing just as war spending piles up | Fortune

Record corporate bond issuance driven by AI capital expenditure and geopolitical factors is increasing Treasury yields and raising borrowing costs for the federal government.
fromFortune
2 months ago

Bonds 101: What investors need to know about the 'shock absorber of the portfolio' | Fortune

Many investors regard bonds as the frumpier cousins to stocks. Their prices rarely pop or plummet. They usually deliver a lower return, and-aside from a glamorous cameo in the 1980s thriller Die Hard-they are not part of popular culture in the same way as, say, GameStop or Tesla shares. They are, though, a critical part of any well-managed portfolio, and with the stock market looking particularly frothy, this may be more true than ever.
Business
from24/7 Wall St.
2 months ago

What I'm Watching Before Buying JP Morgan's Active Bond ETF

The JPMorgan Active Bond ETF (NYSEARCA:JBND) charges a premium for active management, but has attracted $5.4 billion since its October 2023 launch by delivering outperformance when markets get volatile. The real test ahead is whether managers can continue generating alpha as corporate bond spreads compress to levels not seen in two decades. The Spread Squeeze That Could Define 2026 Corporate bond spreads have compressed to their tightest levels in two decades, creating a challenging environment for active managers.
Business
Business
from24/7 Wall St.
2 months ago

Monthly Income Investors Should Know About This Bond ETF's December Distribution Spike

DFCF is an actively managed investment-grade bond ETF offering a 4.5% yield, broad U.S. fixed income exposure, $8.6 billion AUM, and a 0.17% expense ratio.
fromNature
2 months ago

Getting to the (square) root of stock-market swings

A huge data set has confirmed a long-theorized relationship between the size of stock trades and the impact on prices. Buying large numbers of shares in a company would be expected to drive the price up for other investors, because such purchases imply a commodity in demand. Researchers have now gained their best handle so far on how much.
Business
Business
from24/7 Wall St.
1 month ago

These $5 Stocks and ETFs Are Paying Huge Yields to 12%, but There's a Catch

Ultra-high-yield, low-priced stocks and ETFs can boost share count and passive income but involve high risk and suit aggressive investors using a barbell strategy.
[ Load more ]