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By Seth Meyer, CFA Portfolio Manager Seth Meyer discusses the current state of the high-yield market, which he views as fairly priced, given a strong technical tailwind and constructive fundamentals. We believe investors can find attractive opportunities in B-rated bonds issued by companie...
The Corporate Maginot Line Since the post-financial crisis era began more than a decade ago, record low interest rates and the Fed's acquisition of $4 trillion of the highest quality fixed-income assets have led investors to scratch and claw for any asset, regardless of quality, offering r...
A Matter of Opinion As Benjamin Graham points out in his book, The Intelligent Investor , 2003 Revised Edition, “Suppose, as a practical test, we had asked a hundred security analysts to choose the ‘best’ five stocks in the Dow Jones Average, to be bought at the end of ...
Global high yield bonds sold off amid the latest spike in market volatility, along with other risk assets. Yet this does not change our view that exposure to the asset class is important for fixed income investors in an environment where carry, or coupon income, is becoming the main driver of ...
By Vladimir Nikulin, CFA During the last week, the iShares iBoxx $ High Yield Corporate Bond ETF ( HYG ) declined by 0.46% primarily due to monthly dividend payments last week. HYG's underlying portfolio demonstrated neutral performance (0.0%) due to lack of positive news during the last w...
By now just about everyone understands what junk bonds are and why they matter. But there's a non-publicly traded version of this kind of debt that's also soaring and has recently caught the Fed's eye. Called leveraged loans, these are loans made by banks to companies with weak balance sheets ...
This article was first released to CEF/ETF Income Laboratory subscribers 2 weeks ago, so data may be out of date. Please check latest data before making investment decisions. The Weekly Closed-End Fund Roundup will be put out at the start of each week to summarize recent price movement...
Photo Source: REUTERS/Staff. The German share price index DAX graph is pictured at the stock exchange in Frankfurt, Germany, April 24, 2019. For the month, 89% of all CEFs posted NAV-based returns in the black, with 79% of equity CEFs and 95% of fixed income CEFs chalking up returns in the...
Before the last January '18, February '18 plunge in the equity markets, the S&P 500 peaked on January 26, 2018, at 2,872 - 2,873. With Friday night's close at 2,945, the total gain for the S&P 500 (excluding dividends) is 2.5% from that January '18 peak. That is a paltry return for t...
NEW YORK, May 01, 2019 (GLOBE NEWSWIRE) -- Guggenheim Investments today announced that certain closed-end funds have declared their distributions. The table below summarizes the distribution schedule for each closed-end fund (collectively, the “Funds” and each, a “Fund&...
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Guggenheim Credit Allocation Fund of Beneficial Interest Company Name:
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(TheNewswire) Rouyn Noranda, Q.C., - TheNewswire - July 23, 2024 - Granada Gold Mine Inc. (TSXV: GGM) (OTC: GBBFF) (Frankfurt: B6D) (the “Company” or “Granada”) is pleased to announce an estimate of the potential in-ground values at its Granada Go...
(TheNewswire) Rouyn Noranda, Q.C., July 16, 2024 – TheNewswire – Granada Gold Mine Inc. (TSXV: GGM) (OTC: GBBFF) (Frankfurt: B6D) (the “Company” or “Granada”) is pleased to outline the process for gold recovery using conventional crushin...
(TheNewswire) Rouyn Noranda, Q.C., July 10, 2024 – TheNewswire – Granada Gold Mine Inc. (TSXV: GGM) (OTC: GBBFF) (Frankfurt: B6D) (the “Company” or “Granada”) is pleased to engage John Glew as a Resource Development Advisor for the Grana...