The world’s largest banks are showing little progress when it comes to their promise of helping the world avoid the worst ...
Volatility in equities and bonds, as well as potential weakness in non-US currencies, could provide additional boosts to ...
The US was the second-largest issuer of green bonds by country in the fourth quarter of 2024, according to the Climate Bonds ...
With this landmark listing, Nasdaq Dubai's total debt market value currently stands at USD 137 billion, including USD 29 billion in ESG-linked instruments ...
It comes after a sell-off of UK bonds, known as gilts, earlier this month - which resulted in a spike in government borrowing ...
Discover why Bitcoin’s fixed supply and deflationary nature make it the ultimate asset for navigating the $97 trillion global ...
He cited inflation running above the Fed's 2% target, the expanding economy and a "solid" U.S. labor market. Before cutting rates again, the central bank may need to see "a couple months of some ...
Investors are widely expecting the Fed to hold its benchmark interest rate at the current level again, extending a pause in its rate-cutting cycle as markets keep a watchful eye out for whether ...
JP Morgan Asset Management has published its latest Global Alternatives Outlook which looks at the next 12-18 months and ...
TwentyFour Asset Management co-head of investment grade Gordon Shannon said the impossibility of predicting Trump's policies ...
China and many other countries buy U.S. debt through the purchase of Treasury bonds. Here are the factors behind those purchases.
Analyst comments on the implications of this fresh Monday wobble are coming in. George Saravelos, Deutsche Bank's global co-head of FX research, is considering the macro impact, if 1 and he stresses i ...