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2023-03-06 08:05:00 ET Summary Investors need to rethink how they approach ESG investing and which strategies they will implement, especially when we are thinking about the "E". Under the current framework, investors favor companies which have well-documented ESG strategies and ar...
Summary Two key risks could challenge recent market optimism: weaker consumption and a squeeze on corporate profitability. Despite these elevated risks, current credit spreads are not reflective of recessionary risks when compared with historical levels. The opportunity set for inco...
Summary Events of 2022 could have a lasting effect on emerging markets debt investing. In a rare event since the emergence of EMs as an asset class, a meaningful market was severed from global financial markets through the sanctioning of sovereign debt. At the same time, innovative ...
Summary In 2020, the European Commission introduced the principle into the sustainable finance regulatory framework including for climate indexes, as labelled ‘Paris-aligned’ or ‘climate transition’ benchmarks (PABs and CTBs). A prominent approach suggested i...
Summary With an almost 60 trillion-dollar sovereign debt market, the case for ESG integration remains unclear. Market practices that target the reduction of aggregate ESG risk may have the perverse impact of increasing funding gaps and thus decreasing the effectiveness and impact of sov...
Summary EM could be fairly characterized as having low debt and market-based yields, in contrast to higher-indebted and lower-yielding DM countries. EM’s improved fundamentals deserve a special focus as regards net external creditor status. EM is filled with net external creditor...
Summary 2022 has been a volatile year for credit markets, but a closer inspection highlights some striking differences. Yields on EM HY reached much higher levels (close to 14% at its peak), and spiked much faster, than their Euro and US equivalents, which peaked at around 9% in Q4 2022...
Summary The two key risks of fixed income are interest-rate risk and credit risk. Duration and high yield are often negatively correlated. We like the secured nature of securitized bonds. By Matthew Sheridan, CFA Transcript When we think about gener...
Summary Emerging markets have weathered tightening financial conditions. We now see a relatively good backdrop for EM assets as EM rates peak and China reopens. Stocks added to gains and bond yields fell as markets priced in Federal Reserve rate cuts later in 2023. We don’t think...
Summary Markets may be underestimating the stickiness of inflation and central banks’ determination to beat it - and what that means for growth and corporate earnings potential. We favor fixed income and credit over equities, and investment grade over high yield. Should infla...
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2024-06-11 05:42:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-05-20 14:38:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...
2024-04-01 05:18:00 ET Stock Traders Daily has produced this trading report using a proprietary method. This methodology seeks to optimize the entry and exit levels to maximize results and limit risk, and it is also applied to Index options, ETFs, and futures for our subscribers. This...