Bloomberg
HSBC's Major on Bond Markets, Strategy
Steve Major, Global Head of Fixed Income Research at HSBC, discusses his outlook for markets and investment strategy. He speaks with Shery Ahn and Haidi Stroud-Watts on "Daybreak Asia".
Bloomberg
Complacency Around Omicron Is Key Risk for Markets: Bell
Mike Bell, executive director and global market strategist at JPMorgan Asset Management, discusses his outlook for markets in 2022, the surge in bond yields and his position on Chinese equities. He speaks on "Bloomberg Markets: European...
Bloomberg
Asia Won't Necessarily Follow Fed's Moves: TD Securities
Mitul Kotecha, chief emerging-market Asia and Europe strategist at TD Securities, discusses the policy diversion between the European Central Bank and the Bank of England. He also talks about Federal Reserve policy and its implications...
Bloomberg
Equity Market Exposure an 'Evolution' for Citi's Wieting
Steven Wieting, chief investment strategist and chief economist at Citi Global Wealth, explains his investment strategy on reducing equity market exposure and using bonds as an equity risk hedge on "Bloomberg Surveillance."
Bloomberg
B. Riley Securities' Grant on China
Aug.09 -- Mark Grant, Chief Global Strategist for Fixed Income at B. Riley Securities, says the China risk is not a company-specific issue, it's a governing body issue. He speaks with Haidi Stroud-Watts and Kathleen Hays on "Bloomberg...
Bloomberg
First Look With Surveillance: Fed, BOE, ECB
Anna Edwards, Matt Miller and Caroline Hyde take you through what to watch today.
Bloomberg
Aberdeen's Hickmore: We're Not in a Bond Bubble
Aug. 9 -- Luke Hickmore, Aberdeen Asset Management senior investment manager, discusses the state of the global bond market with Bloomberg's Oliver Renick and Scarlet Fu on "Bloomberg Markets."
Bloomberg
Has the Corporate-Bond Boom Hit Its Top?
May 11 -- Goldman Sachs Asset Management's Michael Swell discusses the outlook for corporate bonds and the high-yield debt market with Bloomberg's David Gura on "Bloomberg Markets."
Bloomberg
Gross: Active Management Would Fare Better In Bear Market
Aug 31 -- Bill Gross, fund manager at Janus Capital, discusses asset management performance with normal interest rates. He speaks with Bloomberg's Erik Schatzker on "Bloomberg Markets." (Source: Bloomberg)
Bloomberg
John Gieve: BOE's 'Played Its Hand' in Terms of Rates
Sept. 15 -- Former Bank of England Deputy Governor John Gieve and Bloomberg's Michael McKee discuss the effectiveness of negative interest rates and the struggles faced by the Bank of Japan, Bank of England, and Federal Reserve. They...
Bloomberg
Are U.S. Stocks Still at the Mercy of the Fed?
Sept. 9 -- Scott Wren, Wells Fargo Investment Institute senior equity strategist, discusses today's selloff in U.S. stocks with Bloomberg's Joe Weisenthal, Matt Miller and Scarlet Fu on "What'd You Miss?"
Bloomberg
Stocks Have a Long Way to Climb on Low Bond Yields
Sept. 22 -- Bloomberg's Michael Regan and Olivia Sterns explain the current correlation between stocks and bonds. They speak in On The Markets on Bloomberg Televisions In The Loop.
Bloomberg
Trouble With the (Inverted) Curve
Mar.22 -- The Treasury yield curve inverted for the first time since the last crisis Friday, triggering the first reliable market signal of an impending recession and rate-cutting cycle. The gap between the 3-month and 10-year yields...
Bloomberg
Bond Issuers Are Pushing the Boundaries With Hunger for Yield, Canyon's Friedman Says
May.08 -- Josh Friedman, Canyon Partners co-chief executive officer, discusses the firm's relationship with Navient Corp.'s management and the state of the fixed-income market with Bloomberg's Erik Schatzker on "Bloomberg Markets: The...
Bloomberg
MUFG's Tan Sees Treasuries as Selloff Catalyst
Feb.11 -- Bank of Tokyo-Mitsubishi UFJ East Asia Head Global Markets Research Cliff Tan weighs in on the market turmoil, and talks about his investment thoughts. He speaks "Bloomberg Daybreak: Asia."
Bloomberg
The Yields on Fixed Income Are Insane, Golub Says
Jonathan Golub of Credit Suisse talks about recent volatility in the bond market on "Bloomberg Markets: The Close."
Bloomberg
Munich RE CEO Says Interest Rates May Have Seen Bottom
Mar.15 -- Nikolaus von Bomhard, chief executive officer at Munich Re, discusses the potential business and market impact of a Federal Reserve interest rate hike. He speaks with Bloomberg's Francine Lacqua on "Bloomberg Surveillance."
Bloomberg
Why Japanese Investors Are Dumping U.S. Treasuries
Jul.05 -- Bloomberg's Katherine Greifeld reports on why Japanese investors are shedding Treasuries in favor of riskier U.S. assets. She speaks with Bloomberg's Joe Weisenthal on "What'd You Miss?"
Bloomberg
Guggenheim's Minerd Sees 'Crowding-Out Effect' in Treasuries
Aug.01 -- Scott Minerd, Guggenheim Partners co-founder and global chief investment officer, discusses the U.S. Treasury's refunding statement and his strategy for investing in fixed income. He speaks with Bloomberg's Scarlet Fu and Tom...
Bloomberg
Japanese Bank Stocks: Does the Rally Have Legs?
Feb.05 -- Gavin Parry, managing director at Parry International, discusses the rally in Japanese banks, 10-year Japanese government bonds and his outlook for the U.S. dollar. He speaks to Bloomberg's Shery Ahn on "Bloomberg Markets."
Bloomberg
Record Exodus From Credit Funds Reflects the Week in Volatility
Oct.12 -- Yields on bonds rated below investment grade are the highest since November 2016, jumping to 6.61 percent on Wednesday from 6.18 percent on Oct. 1, according to Bloomberg Barclays index data. Investors pulled about $5.4 billion...
Bloomberg
Schwab's Martin: Few Places For Yield In Bonds
Jul.21 -- Collin Martin, director at Schwab Center for Financial Research discusses boosting income payments. He speaks on "Bloomberg Surveillance."
Bloomberg
IndiGo Aims for Full Domestic Capacity by December, CEO Says
Sep.10 -- Ronojoy Dutta, chief executive officer of IndiGo, discusses the prospects for the Indian budget airline amid the Covid-19 pandemic. The carrier, operated by InterGlobe Aviation Ltd., posted a loss of 31.8 billion rupees in the...
Bloomberg
Stifel’s Bannister Sees 'Down Before Up' S&P 500
Oct.08 -- Barry Bannister, head of institutional equity strategy at Stifel Nicolaus, explains his firm’s call for the S&P 500 on "Bloomberg The Open."