Bloomberg
We Have a Big Overweight on U.S. Equities, Says Nutmeg’s CIO
Aug.15 -- Shaun Port, chief investment officer at Nutmeg, discusses the U.S. yield curve inversion and his investment strategy. He speaks on “Bloomberg Daybreak: Europe.”
Bloomberg
HSBC's Major Says Rates Can Go a 'Lot More' Deeply Negative
Aug.21 -- Steven Major, global head of fixed income research at HSBC, discusses the global bond market and currency hedging strategy on "Bloomberg Markets: European Close."
Bloomberg
Structural Trend Downwards in Yields Is in Play, Says Saxo Capital Markets’s Creagh
Aug.27 -- Eleanor Creagh, Australia market strategist at Saxo Capital Markets, discusses Fed policy and her outlook for bond yields. She speaks on “Bloomberg Daybreak: Asia.”
Bloomberg
Muni Bond Demand Withstands Record-Low 30-Year Yield: Invesco
Aug.28 -- Stephanie Larosiliere, senior municipal strategist at Invesco, examines the impact of a record-low 30-Year yield on the municipal bond market. She speaks with Bloomberg's Taylor Riggs in this week's "Muni Moment" on "Bloomberg...
Bloomberg
Risk Reward for Investors to Get Into Safe Havens Is Poor, Says Pinebridge Investments's Redha
Aug.26 -- Hani Redha, portfolio manager at Pinebridge Investments, discusses the escalations in U.S.-China trade tensions and safe haven trades. He speaks on “Bloomberg Markets: European Open.”
Bloomberg
Mnuchin Considers Ultra-Long U.S. Debt Amid Record-Low Rates
Aug.29 -- U.S. Treasury Secretary Steven Mnuchin said that offering bonds with maturities of 50 to 100 years is under "very serious consideration" by the Trump administration Bloomberg's Derek Wallbank reports on "Bloomberg Surveillance."
Bloomberg
BofA's Moynihan Sees 'Fear of Recession' as Biggest Recession Risk
Aug.16 -- Bank of America Corp. Chief Executive Officer Brian Moynihan discusses the likelihood of a global recession and the outlook for the U.S. economy with Bloomberg's David Westin on "Bloomberg Markets."
Bloomberg
Algebris CEO Serra Says Bond Market Has Bubbles That Can Burst
Oct.02 -- Davide Serra, chief executive officer at Algebris Investments, discusses bond market concerns amid signs of slowing growth in the U.S. and German economies. He speaks on "Bloomberg Surveillance."
Bloomberg
High-Noon for High-Yield?
Oct.04 -- Credit markets reversed their losses after the jobs report brought some much needed relief. U.S. junk bonds were under pressure all week however, recording their longest losing streak since December with yields jumping to a...
Bloomberg
JPMorgan's Chang Says Negative Rates Are Here to Stay
Sep.12 -- Joyce Chang, chair of global research at JPMorgan, discusses how negative interest rates have taken hold around the world. She speaks with Bloomberg's Tom Keene on "Bloomberg Surveillance."
Bloomberg
ECB Wants to Test Limits of Negative Rates, JPMorgan's Normand Says
Sep.09 -- John Normand, head of cross asset fundamental strategy at JPMorgan, discusses European Central Bank policy, negative rates and the impact of political risks on bond and equity markets. He speaks on "Bloomberg Surveillance."
Bloomberg
UniCredit's Nielsen Says Equities Are 'Quite Rich,' Would Sell on Trade Deal
Nov.08 -- Erik Nielsen, UniCredit Group chief economist, discusses his views on the global stock market with Bloomberg's Guy Johnson and Vonnie Quinn on "Bloomberg Markets: European Close."
Bloomberg
U.S. 30-Year Bond Auction Draws Record Low Yield
Oct.10 -- The U.S. government’s sale of 30-year bonds drew a record low yield in a sign of sagging investor expectations for economic growth and inflation. Bloomberg's Lisa Abramowicz reports on "Bloomberg Markets: The Close."
Bloomberg
Expectations for High Yield in 2020
Dec.17 -- Bloomberg Opinion's Mohamed El-Erian and Bob Michele of JPMorgan Asset Management discuss the outlook for corporate credit. They speak on "Bloomberg The Open." El-Erian's opinions are his own.
Bloomberg
Low Rates in the Driver's Seat
Feb.14 -- Michael Hans of Clarfeld Citizens Private Wealth, Robert Tipp of PGIM Fixed Income and David Mazza of Direxion discuss markets and the low rate environment. They speak on "Bloomberg The Open."
Bloomberg
HSBC Is 'Overweight' U.S. and U.K. Stocks, Gold
Mar.02 -- Cheuk Wan Fan, managing director and chief market strategist for Asia at HSBC Private Banking, discusses how the coronavirus outbreak is affecting global markets, policies and her strategy. She speaks with Haidi Stroud-Watts...
Bloomberg
Investors Make Plans for More Market Volatility
Mar.10 -- George Boubouras, head of research at K2 Asset Management, discusses how he’s positioning his portfolio for more market volatility. He speaks on “Bloomberg Markets: Asia.” (Corrects guest's company name and title in description.)
Bloomberg
There Is a Lot of Appetite for Chinese Bonds: Bank Julius Baer’s Matthews
Nov.25 -- Mark Matthews, managing director and head of Asia research at Bank Julius Baer, discusses China’s economy and his outlook for the bond sector. He speaks on “Bloomberg Daybreak: Middle East.”
Bloomberg
StanChart’s Brice Shifting to Focus on China Offshore Shares in 2020
Dec.02 -- Steve Brice, chief investment strategist at Standard Chartered Private Bank, discusses his outlook for markets in 2020. He speaks on “Bloomberg Markets: China Open.”
Bloomberg
Hunting for Yield in Emerging Markets
Jan.30 -- Zeina Rizk, director of fixed income at Arqaam Capital, talks about Middle East bond markets and the opportunities she sees in emerging markets. She speaks with Yousef Gamal El-Din and Manus Cranny on "Bloomberg Daybreak:...
Bloomberg
IMF’s Georgieva Sees Debt Buildup Reaching a Danger Point
Jan.23 -- Kristina Georgieva, managing director at the International Monetary Fund, discusses her top market concerns for 2020, the dangers of debt buildup, and the monetary policy space of global central banks. She speaks at the World...
Bloomberg
Pimco’s Crescenzi: Yields as Low as They Can Go Absent a Rate Cut
Feb.21 -- Tony Crescenzi, strategist and portfolio manager at Pacific Investment Management Co., discusses the search for yield in the U.S. and Europe amid concerns about the coronavirus. He speaks with Bloomberg’s Francine Lacqua on...
Bloomberg
'Bloomberg Real Yield": PGIM's Michael Collins
Aug.09 -- Michael Collins, senior portfolio manager at PGIM Fixed Income, discusses the July U.S. employment report, negative yields, and U.S. Treasuries. He speaks with Bloomberg's Jonathan Ferro on "Bloomberg Real Yield." (This segment...
Bloomberg
BlackRock’s Thiel Sees U.S. Back to Trend Growth in 3Q 2021
Aug.04 -- Scott Thiel, chief fixed income strategist at BlackRock Investment Institute, discuses interest rate volatility and U.S. growth and inflation expectations. He speaks on “Bloomberg Surveillance.”