News

Convertible bonds in the US had their best week in more than four years, with surging demand enabling companies to tap the market at low prices rarely seen since the pandemic.
As much as a third of the $6 trillion worth of cash and invested assets held by US life insurers was allocated to various types of private credit investments at the end of 2024, Moody’s ...
Traders who hung on during this year’s tariff-fueled rollercoaster ride in stocks are facing a conundrum: Bonds may offer more attractive returns in coming years, according to one widely tracked ...
Hong Kong’s pension fund managers have formed a preliminary plan to sell down their Treasury holdings within as soon as three months if the US loses its last recognized top credit rating ...
Global investor pushback against long-term government debt is turning what normally would be a routine US bond auction into one of the most anticipated events on Wall Street this week.
Three-month MAS bills offer yield of about 13 basis points over similar-tenor US government debt when currency-hedging costs are taken into account, according to data compiled by Bloomberg.
Some of the safest assets in Asia offer investors a yield pickup to Treasuries in the wake of the US losing its last AAA credit rating.
For a fleeting moment Monday morning, 20-year bonds were no longer offering the highest yields on the US Treasuries curve.
ISTB has rebounded as credit spreads calm, but tariff risks, USD concerns, and rate sensitivity cloud the outlook. Find out why ISTB ETF is a hold.
Moody's has joined Fitch and S&P in cutting the US' credit rating, dropping the world's largest economy from a perfect 'AAA' to one notch below. Why? Because of a ballooning federal deficit and ...
Why has the US lost its AAA credit rating, and why does it matter? Loss of Moody’s highest rating comes amid concerns about Washington’s widening budget deficit and fiscal trajectory.
A credit spread reflects the difference in yield between a Treasury and corporate bond of the same maturity. It's a crucial economic indicator, and also refers to an options strategy.