News Clip4:15
Bloomberg

Major: Fair Value for Gilt Yields Nearer to 1% Than 0.5%

Higher Ed
Sept. 9 -- Steven Major, global head of fixed income research at HSBC, examines gilt yields, the potential for looser fiscal policy, and discusses the difficulties of market forecasting. He speaks on "Bloomberg Surveillance."
News Clip3:36
Bloomberg

Why JonesTrading's O'Rourke Thinks Shorting Bonds Is the Trade of the Year

Higher Ed
Feb.20 -- On "Charting Futures," Michael O'Rourke, chief market strategist at JonesTrading, discusses the auction calendar for Treasuries and why he's shorting bonds. He speaks with Abigail Doolittle on "Bloomberg Markets."
News Clip9:07
Bloomberg

Goldilocks Fights the Resistance

Higher Ed
Mar.15 -- Another week of weakening economic data, another weekly gain for risk assets. Fundamentally, it sort of feels like a Goldilocks-is-back vibe. Important economic data this week -- retail sales, durables -- has been decent and...
News Clip1:01
Bloomberg

Bonds Signaling a Painful Downturn: Invesco's Waldner

Higher Ed
"The market is telling you (the Fed) is going to really, really tighten and what that means for the economy and for risky assets is not clear," Rob Waldner, fixed income strategist at Invesco, says on "Bloomberg Markets: The Close."
News Clip3:19
Bloomberg

BlackRocks Rosenberg: How Bond Investing Has Changed

Higher Ed
Oct. 6 -- BlackRock chief investment strategist Jeffrey Rosenberg, talks about changes to fixed income investing and how divergence creates investing opportunities. He speaks on Bloomberg Surveillance.
News Clip6:26
Bloomberg

Gill: See 75% Chance of Recession

Higher Ed
Manpreet Gill, Chief Investment Office, AMEE, Standard Chartered Wealth Management discusses his market outlook and investment strategy. He speaks with Yousef Gamal El-Din on "Bloomberg Daybreak: Middle East."
News Clip2:45
Bloomberg

Yen Near Prior Intervention Levels

Higher Ed
The yen fell for a third consecutive session on Monday, breaking through 145 yen per dollar, putting it within striking distance of a new low. David Finnerty reports on Bloomberg Television.
News Clip1:42
Bloomberg

Deep Dive: Treasury Versus S&P 500 Dividend Yields

Higher Ed
July 6 -- On today's "Deep Dive," Bloomberg's Joe Weisenthal and Matt Miller take a look at Treasury versus S&P 500 dividend yields and market correlations. They speak on "What'd You Miss?"
News Clip3:49
Bloomberg

Pimco's Browne Says Equities Still Offer Value Versus Other Asset Classes

Higher Ed
Feb.19 -- Erin Browne, Pacific Investment Management Co. (Pimco) managing director and portfolio manager, says the equity market still offers value compared to other asset classes. She speaks with Bloomberg's Romaine Bostick and Joe...
News Clip2:02
Bloomberg

CalSTRS Would Consider Ultra-Long Bonds, CIO Ailman Says

Higher Ed
Aug.29 -- Chris Ailman, chief investment officer at the California State Teachers' Retirement System, comments on the U.S. Treasury considering offering bonds with maturities of 50 to 100 years. He speaks with Bloomberg's Scarlet Fu and...
News Clip4:54
Bloomberg

B. Riley Financial Mark Grant on Global Markets

Higher Ed
B. Riley Financial Chief Global Strategist Mark Grant says we are now caught in a bear trap: inflation and the Fed's choices vs. what Putin may do in Ukraine. Therefore, Grant thinks, the risk is all to the downside now. He spoke to...
News Clip1:53
Bloomberg

BlackRock's Cooper Sees a Move to Curve Steepening

Higher Ed
Laura Cooper, senior macro investment strategist at BlackRock, says curve steepening "is the way to go at this point" as she examines the impact of quantitative tightening from the Federal Reserve. She speaks with Dani Burger on...
News Clip3:45
Bloomberg

Moments of UK Stability

Higher Ed
Priscila Azevedo Rocha, Bloomberg Credit Reporter, says moments of stability have been coming to the UK, but the bigger backdrop still remains negative.
News Clip10:08
Bloomberg

Beyond the Bell 03/02/22

Higher Ed
Comprehensive cross-platform coverage of the U.S. market close on Bloomberg Television, Bloomberg Radio, and YouTube with Romaine Bostick, Caroline Hyde, Taylor Riggs, Tim Stenovec and Katie Greifeld .
News Clip2:16
Bloomberg

U.S. 10-Year Yield Climbs for Fourth-Straight Day

Higher Ed
Feb.08 -- In "Futures In Focus," Ira Epstein of the Ira Epstein Division of Linn & Associates examines the factors behind the recent moves in U.S. Treasury yields. He speaks with Bloomberg's Vonnie Quinn on "Bloomberg Markets."
News Clip3:52
Bloomberg

Bonds Poised to Outperform Small Caps, BofA Merrill's Ciana Says

Higher Ed
Sep.18 -- In this edition of "Smart Charts," Bank of America Merrill Lynch Technical Strategist Paul Ciana examines U.S. Treasury yields with Bloomberg's Abigail Doolittle on "Bloomberg Markets: What'd You Miss?"
News Clip2:42
Bloomberg

USD-CHF Is the Most Attractive Carry Trade: BNP Paribas’s Lynton-Brown

Higher Ed
Dec.11 -- Sam Lynton-Brown, head of FX strategy for Europe at BNP Paribas Markets 360, discusses commodity currencies going into 2020 and his preferred carry trades. He speaks on “Bloomberg Daybreak: Europe.”
News Clip2:23
Bloomberg

Key Corporate Debt Risk Measure Rises to 40-Year High

Higher Ed
Feb.19 -- U.S. blue-chip companies are borrowing for longer and longer periods in the corporate bond market, locking in record-low borrowing costs for years as money managers accept greater risks in exchange for higher yield. Bloomberg's...
News Clip2:57
Bloomberg

Local Currency Emerging-Market Bonds Favored, JPMorgan PB's Wolf Says

Higher Ed
Feb.17 -- Alexander Wolf, head of Asia investment strategy at JPMorgan Private Bank , discusses his views on U.S. and Asian assets. He speaks with Haslinda Amin and Paul Allen on "Bloomberg Markets: Asia."
News Clip1:52
Bloomberg

Winner: Yields Rise on Synchronized Global Recovery

Higher Ed
Feb.02 -- Laurence Mutkin, head of G10 rates strategy at BNP Paribas, and Dale Winner, portfolio manager at Wells Fargo Asset Management, discuss the factors behind rising bond yields. They speak with Bloomberg's Francine Lacqua on...
News Clip4:38
Bloomberg

Bob Doll: Rates Are in a Long-Term Bottoming Process

Higher Ed
Oct. 28 -- Bob Doll, senior portfolio manager at Nuveen Asset Management, looks at the factors behind the current bond selloff as he sees markets recognizing better growth and inflation. He speaks on "Bloomberg Surveillance."
News Clip5:09
Bloomberg

Gold May Do Well in Current Environment: StanChart's Brice

Higher Ed
Steve Brice, chief investment officer at Standard Chartered Wealth Management, discusses his outlook for gold, global equity markets and the themes he's following across Asia. He speaks on "Bloomberg Daybreak: Asia."
News Clip7:05
Bloomberg

CLSA Securities' Rana on Samsung Earnings

Higher Ed
Sanjeev Rana, CLSA Securities Korea Technology Analyst discusses Samsung's 1Q earnings. He speaks with Shery Ahn and Haidi Stroud-Watts on "Bloomberg Daybreak: Asia".
News Clip6:08
Bloomberg

State Street's Ayub on Inflation, Rate Hikes

Higher Ed
Mehvish Ayub, State Street Global Advisors senior strategist discusses inflation risks and Fed rate hikes. She speaks with Manus Cranny on "Bloomberg Daybreak: Middle East."