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The Fed struck a hawkish tone at its latest meeting, but Franklin Templeton Fixed Income Chief Investment Officer Sonal Desai believes it still underestimates how far rates will likely need to rise—and so do the markets. Geopolitical uncertainty has caused energy prices to surg...
As core rates have fallen, it has become increasingly challenging for investors to achieve their investment targets. Investing in EM debt entails the same risks that accompany all debt issues, such as the issuer’s ability to meet payment obligations. if you need to enhance ...
The most dramatic and immediate effect of the invasion and subsequent international sanctions is that local market Russian securities are effectively frozen. Emerging markets debt more broadly has traded well this year, in terms of spread, prior to the invasion. We believe the maj...
As the world reels from the crisis, the blowback is rippling across the world economy and markets. The current risk premia analysis implicitly recommends managing expectations down for GMI and other global multi-asset-class portfolios. The mean reversion factor is estimated as the...
Emerging markets debt is an under-researched and under-owned asset class, creating the potential for returns and diversification. Historically, emerging market debt sovereigns have defaulted about 1%, frontier markets about 1.5%, and median recovery values have been north of 50 cents ...
SPDR Bloomberg Barclays Emerging Markets USD Bond ETF (NYSEARCA:EMHC) - $0.0999. 30-Day SEC Yield of 5.02% as of Feb. 25. Payable Mar 07; for shareholders of record Mar 02; ex-div Mar 01. For further details see: SPDR Bloomberg Barclays Emerging Markets USD Bond ETF declares monthly dis...
In 2022, we have extreme uncertainty around the fundamental economic environment, the policy response, inflation and the response of policymakers. Although we are cautiously optimistic on the inflationary trajectory, when you look at the relatively low rate environment still, you ...
Emerging markets high yield sovereign bonds have had a difficult few months. Countries that were reluctant to take International Monetary Fund support are now seeking it. We believe weak market sentiment has priced countries closer to worst-case scenarios. For further detail...
To help address investor concerns about Russia-Ukraine tensions, our Portfolio Managers examine the impact on their respective asset classes and potential allocation changes. We believe sanctions initially will focus on Russia’s top security personnel and companies directly inv...
Geopolitical headlines will have helped, but front-end rates have more reasons to ease back from extremes. In the US, the Fed mulling MBS sales offers an alternate tightening avenue, and in the UK, the BoE's pushback against aggressive pricing should find a more prominent platform nex...
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2024-07-11 03:52:00 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...
2024-06-21 06:10:00 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...
2024-05-30 14:48:00 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...