Historically expensive home loans have hit issuance, while demand from key buyers has slumped
Issuance of $1tn-worth of government bonds in space of three months creates a glut as big buyers retreat
Weaker economic data have helped bolster prices in the battered US bond market
Founder of $62bn firm hits out at US proposals to treat big players in his industry like broker-dealer arms of banks
Asset manager points to ageing populations and fractious geopolitics pushing up 10-year Treasury yields
We are entering an era of higher and more volatile inflation, leading to broad changes in the investing landscape
The truth is that high-emitting stocks outperform
S&P 500 has best day in six months after dovish messages from central banks
Borrowing plans announced over summer helped push government bond yields to multiyear highs
Long-dated Treasuries are rallying because of . . . fiscal policy?
Keep an eye on the Treasury’s Wednesday refunding announcement
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Pimco, BlackRock and Vanguard are among the firms wading back into long-term US government debt
A decent amount of it too, it seems
Many investors are beginning to buy low-risk government securities
Pershing Square founder said this week he had exited high-profile short position
High yields and volatility underscore the need for vigilance and fiscal discipline
The advice last year to jump into fixed income was bad and it still makes little sense
10-year benchmark borrowing cost climbed above 5% for first time since 2007 before retreating
And bank margins are fine
Relentless rise of yields attracts new inflows — but leaves long-dated bondholders nursing losses
Gains for precious metal break its long-term correlation with US Treasuries
Plus, the carbon premium
Investors lick wounds after loading up on fixed-income assets as 10-year Treasury yield approaches 5%
‘When 30-year mortgages and car loans cost you 8% it will impact consumer behaviour,’ says president
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