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Do rising rates favor CRE debt?

Rising rates have wreaked havoc on markets this year, but this week’s chart points to CRE debt as an area that could potentially benefit from them.

Rate volatility returns in a big way, joining stocks

Short rates saw their largest jump in more than year. Our chart focuses on elevated rate volatility this year as equity markets also remain choppy.

Investment grade bonds vulnerable as rates rise

As rising rates have wreaked havoc across markets this year, our chart focuses on the widening duration gap between IG and HY bonds.

A sharp rotation toward value as rates rise

Value dominates early 2022 as rates rise. Our chart looks at value’s relative outperformance and why flexibility may be key this year.

As short-term rates spike, long-term rates fall further

Benchmark rates have fallen as inflation jumps, highlighting an unexpected relationship. Our chart looks at the changing yield curve this year.

As equities rallied in 2021, core fixed income fell

Core fixed income is on pace for its first negative year since 2013. Our chart looks at the Agg’s annual returns, why this year may be different.

Equities, and expected rate volatility, bounce together

Expected equity volatility quickly settled though it continued to climb in the rates market. Our chart revisits the divergence.

As inflation rises, real yields fall further

October’s inflation report continues to rattle markets, as real rates have plummeted. Our chart looks at the wide gap between nominal and real rates.

Amid rising inflation, a fixed income gap grows

As U.S. inflation spikes and rates rise, fixed income returns have diverged. Our chart looks at the gap between core fixed income and credit.

Inflation: Not just a U.S. problem

Inflation has spiked in not only the U.S, but around the world. Our chart looks at rising CPI readings across developed countries.
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