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KORP News and Press, American Century Diversified Corporate Bond From 10/10/22

Stock Information

Company Name: American Century Diversified Corporate Bond
Stock Symbol: KORP
Market: NYSE

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KORP - Be Wary Of Bear Market Rallies

Summary When U.S. headline inflation dropped between June and July, it fueled a strong midsummer rally based on hopes that central banks might soon begin to ease their policy tightening. However, while we are not convinced the economic outlook is yet reflected in earnings outlooks...

KORP - Cyclical Outlook Key Takeaways: Prevailing Under Pressure

Summary Geopolitical tensions, elevated market volatility, and the fastest pace of central bank tightening in decades are contributing to an unusually uncertain economic environment. In addition to higher income potential, yields are high enough to provide the potential for capita...

KORP - Fixed-Income Outlook: Stormy Weather And Silver Linings

Summary Rising prices continue to confound expectations that slowing global growth will ease inflation pressures. Financial market turbulence may be here to stay for some time. The ability to rebalance negatively correlated assets helps generate income and potential return whi...

KORP - We Keep Risk Low Amid Volatile Macro

Summary The new regime poses an unavoidable trade-off for central banks: tame inflation by hiking or preserve growth. We see them overtightening rates, so keep risk low. UK gilt yields reached 14-year highs before the Bank of England intervened to halt the selloff. Yields on 10-ye...

KORP - Chart Of The Moment: Nuance Not Extremes In Credit Spreads

Summary When perceived or actual risks around corporate solvency and liquidity emerge, segments of the corporate bond market reprice lower, at times dramatically so. Spreads and volatility are related and tend to broadly move together. The year-to-date change in corporate bond...

KORP - Weekly Market Pulse: Monetary Policy And Asset Prices

Summary Stocks are now back down to the lows set in June and sentiment is as negative now as it was then. There is a long list of technical items that have hit levels or rates of change we associate with bottoms, short- or long-term. The economic data last week was mostly abou...

KORP - A High-Yielding Haven

Summary Last week brought the third consecutive 75-basis point rate hike from the U.S. Federal Reserve. The week also brought more signs of this rapid hiking cycle reverberating worldwide. We think credit spreads can offer a remunerative and relatively calm haven amid the vola...

KORP - Pursuing Inflation Resilience In Multi-Asset Strategies

Summary Although consumers are benefiting from robust labor markets and strong balance sheets, they appear reluctant to buy high-cost durable goods. A key to navigating inflation risk is understanding its relationship with asset class returns. Historically, high-inflation episodes...

KORP - Sticking With Reduced Risk-Taking

Summary The new regime of macro volatility is playing out with weaker growth, persistent inflation and volatile markets. We stick with our dialed-down risk stance. U.S. stocks slumped and yields surged on a renewed rise in core inflation. We’ve argued inflation will be pers...

KORP - 2022: 3 Quarters Of Pain And Counting

Summary As we start the third week of September, with the US Fed’s much-telegraphed rate hike on Wednesday (+.75 with some 30% betting odds of a full percent!), markets are peaked. To date, Canada’s TSX -13% is just a quarter through the price correction experienced ...

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