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Updated by Garth Friesen on Mar 30, 2019
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Top 5 Fixed Income Stories of the Week

Here are this week's most interesting articles on the fixed income market.

A key recession signal is back at levels last seen during the financial crisis | Markets Insider

The yield curve, which measures the difference between short- and long-term bond yields, hit its narrowest point since October 2007. 
When the curve ...

Does The Spike In LIBOR Signal The Next Financial Crisis?

There is a lot of worry over the recent spike in LIBOR. Does the widening present an investment opportunity, or is the next banking crisis around the corner?

Global credit markets also showing signs of danger

Dislocations in global credit markets often have been signs of an economic or market issue.

Bond Market Is Downgrading the Prospects for Inflation

The synchronized global economic growth that began in October 2016 is fading.

Draghi Studies Fed Exit as ECB's Guide on What to Do and Avoid - Bloomberg

Mario Draghi has six months left to prepare a retreat from ultra-loose monetary policy, and he has a ready-made roadmap on hand.

Higher Libor-OIS Is New Normal But Don't Fret, Says CS's Pozsar - Bloomberg

The surge this year in a key short-term dollar-financing indicator is being driven by structural forces that may persist without signaling an underlying credit-driven upheaval, according to Credit Suisse Group AG analyst Zoltan Pozsar.