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Energy market commentary: February 2020
The energy sector continued its rocky start to 2020. Crude prices continued to fall and now sit 27% lower than at the start of the year. Uncertainty has taken over markets, presenting challenging headwinds for commodities and energy markets.
Credit market commentary: February 2020
The last week of February saw a global sell-off in risk assets as markets reacted to news of the coronavirus. Leveraged credit markets slid alongside a steeper drop in equities. The Barclays Agg benefited from its long duration, returning 1.80% as rates hit all-time lows during the month.
COVID-19 touches down in the U.S., the Fed cuts rates and markets shudder
Chief U.S. Economist Lara Rhame's updated breakdown of the virus and market volatility
Plunging earnings sentiment a sign of more volatility ahead?
How far will earnings growth plummet? Our chart looks at analyst sentiment as coronavirus-driven uncertainty rises and impacts investors.
COVID-19 widens reach into U.S., causing market volatility to surge
COVID-19 broadened its reach into the U.S. this week, sparking the sharpest equity market sell-off in a decade.
Rate declines signal search for income is escalating
How far will Treasury yields fall? Our chart looks at this traditional income source’s recent plunge and what may lie ahead for investors.
Impact of oil market dynamics
Crude prices tumbled as a supply shock hit an oil market already pressured by COVID-19.
Volatility is unrelenting, even as Fed accelerates easing
What to watch as economic data starts catching up to COVID-19 headlines
Showing 271–280 out of 1074 results