Bloomberg
Crispin Odey's Hedge Fund Suffers 49.5% Loss
Jan.06 -- The main hedge fund of Crispin Odey tumbled 49.5 percent in 2016 as bearish bets fell prey to a surge in equities. Bloomberg's Nishant Kumar reports on "Bloomberg Markets: European Close."
Bloomberg
Why the U.S. Equity Market Is Stretched
Feb.24 -- Russ Koesterich, BlackRock's Global Allocation Fund portfolio manager, explains why he thinks U.S. equities will have lower returns over next 3-5 years. He speaks with Bloomberg's Joe Weisenthal, Lisa Abramowicz and Erik...
Bloomberg
Greenspan: Repeal Dodd-Frank, Return to Square One
Nov. 7 -- Former Federal Reserve Chairman Alan Greenspan discusses his wish to repeal Dodd-Frank legislation, the lack of issues in the U.S. presidential campaigns, and why he sees 10-Year yields returning to 3-5 percent "eventually." He...
Bloomberg
Algebris CEO Serra on Tariffs, Italy, Deutsche Bank
Jun.19 -- Davide Serra, chief executive officer at Algebris Investments, discusses the impact of trade tariffs on the U.S. economy and dollar, how his firm was taken by surprise by the "blip" in Italy, and his view of Deutsche Bank's...
Bloomberg
Tesla Feels the Bond Market Love
Aug.11 -- Elon Musk’s electric-car maker Tesla Inc. raised $1.8 billion in its debut bond sale on Friday, boosting the amount by $300 million to meet demand. Bloomberg's Dana Hull has more on "Bloomberg Technology."
Bloomberg
Barclays' Hobbs: Not Time to Take Equity Risk on 'Meek' Earnings Story
Jul.15 -- William Hobbs, chief investment officer at Barclays Investment Solutions, explains why earnings expectations do not make this a good time to take on equity risk. He speaks with Bloomberg's Nejra Cehic on "Bloomberg Surveillance."
Bloomberg
WeWork Is the Poster Child for Losses, Lack of Transparency and Arrogance, Triton CEO Says
Sep.13 -- Rett Wallace, Triton Research chief executive officer, comments on WeWork's plans for a public listing. He speaks with Bloomberg's Romaine Bostick, Caroline Hyde and Joe Weisenthal on "Bloomberg Markets: What'd You Miss?"
Bloomberg
Expect More Volatility as Stocks Trade With Cautious Optimism, Calamos' Cusick Says
Oct.02 -- Joseph Cusick, Calamos Investments vice president, discusses the sell-off in U.S. stocks, the outlook for Federal Reserve monetary policy and U.S. bond yields with Bloomberg's Guy Johnson on "Bloomberg Markets."
Bloomberg
Can Still Be 'Long' Bonds, Particularly in U.S.: Oanda's Halley
Oct.06 -- Jeff Halley, senior market analyst at Oanda, talks about global stocks, bonds, and central banks' policies. He speaks with Paul Allen and Kathleen Hays on "Bloomberg Daybreak: Asia."
Bloomberg
Value ETFs Ditched for Low-Vol, Multi-Factor Funds to Start 2019
Feb.20 -- Among factor ETFs, low volatility has attracted the largest allocation since the Dec. 24th stock-market bottom, adding $6.3 billion. Interest in low-volatility ETFs typically rises after a market drop like the one in 4Q....
Bloomberg
Lincoln International's Ron Kahn on Health of Private Equity Market
May.23 -- Lincoln International Managing Director Ron Kahn joins Bloomberg Senior Deals Reporter Ed Hammond to explain why the private middle market is an indicator for the overall health of private equity.
Bloomberg
BNP Paribas AM Sees Some Upside for Equities Short Term
Jun.16 -- Paul Sandhu, head of multi-assets quant solutions and client advisory for APAC at BNP Paribas Asset Management, shares his investment strategy on stocks and bonds. He speaks on "Bloomberg Markets: Asia."
Bloomberg
BNP Paribas CFO Discusses Targets as Bond Trading Income Falls
Oct.30 -- BNP Paribas SA Chief Financial Officer Lars Machenil discusses targets and profitability, the operating environment in Europe and the impact of a weaker Turkish lira, Italy and Brexit on business. Machenil speaks with...
Bloomberg
Enterprise CEO Seeks Partners for Crude Export Terminal
Mar.13 -- Enterprise Products Partners LP is looking for shale producers to team up on a proposed crude export terminal off the U.S. Gulf Coast, Chief Executive Officer Jim Teague sits down with Alix Steel to discuss.
Bloomberg
Legal & General More Nervous About Virus Outcome in U.S.: CEO
Aug.05 -- Nigel Wilson, chief executive officer at Legal & General Group Plc, discusses first half earnings, the impact of coronavirus on U.K. and European growth and corporate debt. He speaks on “Bloomberg Markets: European Open.”
Bloomberg
Asset Prices, Economy Are Disconnected: Morgan Stanley
Aug.24 -- Morgan Stanley says that there is a "great disconnect" between asset prices and economic fundamentals. Jim Caron, fixed-income portfolio manager at Morgan Stanley Investment Management, made the comments on "Bloomberg...
Bloomberg
SocGen Deputy CEO Sees `Very Robust Activity' in Equities in U.S.
Nov.08 -- Societe Generale SA Deputy Chief Executive Officer Philippe Heim discusses third-quarter earnings, the performance of the bank's equities-trading business and the impact of political risks in Europe. Heim talks with Bloomberg...
Bloomberg
Tesla 'Very Unlikely' to Do a Traditional LBO, Says GSO's Scott
Aug.08 -- Dwight Scott, president at GSO Capital Partners, discusses Elon Musk's statement that he might take Tesla Inc. private. He speaks on "Bloomberg Daybreak: Americas."
Bloomberg
JPM’s Normand Sees Credit as Safer Way Back Into Markets
Apr.06 -- John Normand, head of cross-asset fundamental strategy at JPMorgan, sees an erratic path for equities over the next few months as he explains what he would buy at this time. He speaks with Bloomberg’s Guy Johnson on "Bloomberg...
Bloomberg
Hong Kong on Verge of 'Full-Fledged Banking Crisis,' Hayman's Bass Says
Jan.15 -- Kyle Bass, Hayman Capital Management founder and chief investment officer, says Hong Kong is poised to experience a "full-fledged banking crisis" this year. He speaks during an interview with Bloomberg's Vonnie Quinn and Guy...
Bloomberg
Goldman’s Currie: Likely to See Record Largest Oil Demand Shift
May.10 -- Jeffrey Currie, global head of commodities at Goldman Sachs, discusses steps to keep fuel flowing following the Colonial Pipeline Co. hack and offers his outlook for fuel demand. He speaks on “Bloomberg Surveillance Early...
Bloomberg
Global 'Tightening Tsunami' Coming, State Street Says
Gaurav Mallik, chief macro strategist at State Street Global Advisors, discusses monetary policies of central banks including the Federal Reserve, the implications for financial markets, and his investment strategy. He speaks with Shery...
Bloomberg
Quadratic Capital CIO on U.S. Stimulus, Bond Market
Nov.12 -- Nancy Davis, founder and chief investment officer at Quadratic Capital, discusses the possibility of stimulus coming in the U.S., bond yields and where she’s seeing opportunity. She speaks on “Bloomberg Markets: Asia.”
Bloomberg
U.S. Equities Likely to Range Trade: Jefferies's Darby
Sean Darby, chief global equity strategist at Jefferies, discusses Fed rate hikes and his outlook for U.S. equities. He speaks on "Bloomberg Markets: China Open."