Search our site

Showing 311–320 out of 1074 results

Why markets are floating past the economic collapse

In this report, we break down today’s payroll data, recent market performance and what investors need to prepare for next.

History suggests the market recovery could be long and slow

Long, slow and volatile recovery? Our chart illustrates why investors might want to prepare for an extended period of economic uncertainty.

Q1 earnings: Back to the future

The first earnings season in the age of COVID-19 is wrapping up, and company reports gave a glimpse into how the pandemic is impacting corporate America.

With long-term rates stuck near zero, income is harder to find than ever

How long will Treasury rates stay near zero? This week’s chart compares today’s ultra-low yields to those during the global financial crisis.

The next downturn is here. How will CRE debt hold up?

Here we analyze the potential impact of COVID-19 on the CRE debt market by examining the market’s performance during the 2008 GFC and comparing the state of the pre-GFC and pre-COVID markets.

Energy market commentary: May 2020

Midstream led a continued recovery for the broader energy sector in May. While falling production volume is a negative for midstream, many firms have protections in place to help mitigate impacts.

Credit market commentary: May 2020

Steps to reopen the economy and progress toward a COVID-19 vaccine created an optimistic sentiment for much of the month, as HY Bonds, Senior Secured Loans and structured products posted strong returns. Interest rates remained relatively rangebound and the duration-sensitive Barclays Agg had a slight gain.
Showing 311–320 out of 1074 results

Search our site