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PHYL News and Press, PGIM Active High Yield Bond From 11/11/22

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Company Name: PGIM Active High Yield Bond
Stock Symbol: PHYL
Market: NYSE

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PHYL - Carry Boosts Fixed Income Resilience In Likely Fed Scenarios

Summary We believe that various fixed income asset classes are more attractive now and can serve as yield enhancers or portfolio diversifiers, or both, in a variety of market environments. Using broad high yield as an example, at current levels the overall yield would need to incr...

PHYL - Could Market Fears Abate Toward Year-End?

Summary Almost half of the option contracts being traded on the S&P 500, to the tune of $300 billion of notional each day, have one-day expiries or less. Across all listed ETFs and indices, an astounding $1 trillion of notional value in put options (bets that an index or ETF w...

PHYL - 2023 Fixed-Income Outlook: Bullish On Bonds

Summary Rate hikes and tighter financial conditions drove fixed-income returns lower in 2022. The broad repricing of bonds and the higher starting yields we have now can help insulate investors from further losses. If we look at international bonds, this is probably the first ...

PHYL - More On Corporate Bonds, And The 10-Year Treasury Yield

Summary The pain in bond-land is palpable. The IGSB ETF is now more oversold than either the 2008 or 2020 lows. The 10-year Treasury yield closed at 4.12% today, despite Powell’s rhetoric from last night. In this post from Tuesday night, the relative attra...

PHYL - A Time Of Transition And Tax-Loss Harvesting

Summary As tax-loss harvesting season begins in earnest, the main headline typically focuses on the selloff in global equity and fixed income markets, many of which are down well over 10% so far this year. However, for US-listed ETFs that hold international equities, returns are d...

PHYL - High Yield's Compelling Recession Resilience

Summary Allocators are often surprised to discover that high-yield bonds typically outperform stocks by a wide margin going into and coming out of recessions. The High Yield Index has been very resilient. An inflationary recession should lead to lower high-yield default losses...

PHYL - Global Asset Allocation Viewpoints, Q4 2022 - Tumultuous Times

Summary The global economy has been hit by several headwinds, almost all of them leading back to higher inflation. Europe is likely already in recession, the U.S. will enter recession in Q2 2023, while China struggles to make recovery headway. Markets have faced up to the reality ...

PHYL - 2022 Is The 'GFC' For The U.S. And Global Bond Markets/High-Grade Corporates Look Cheap

Summary Barclays Aggregate is down almost as much as the S&P 500 YTD. As of 10/31/22, the YTD return on high yield is far better than the return on corporate high-grade. There is relative value being created in the various bond market asset classes. Looking at th...

PHYL - No Time To Sit On The Sidelines For Fixed Income

Summary Global bond markets have been rattled in 2022 by central banks’ aggressive policy pivot to address persistent inflation. The Fed is trying to drive economic growth lower and take the pressure off inflation by reducing demand through higher interest rates — an...

PHYL - Weekly Market Pulse: Rational Optimist

Summary The Fed is going to meet this week and the course of the stock and bond markets, at least for a while, will be determined by what is decided at the FOMC meeting. Household and corporate balance sheets are remarkably liquid. Financials, real estate, and industrials led ...

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