Extended-lister
Showing 1 - 10 of 1,494 entries
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ESG-labeled bonds not only grew as a market in the years since 2014; they became increasingly complex, as their objectives broadened beyond environmental ones alone.
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We explore what sovereign bonds can tell us about how climate change is going to affect governments.
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This interactive dashboard will provide an overview of the main categories of ESG bonds and the more narrowly defined thematic bonds within these broader bond categories.
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Interact with our chart to see the probabilities of default implied in corporate-bond prices.
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Given low real yields and higher inflation, we re-examine the economic rationale and empirical evidence supporting bonds in multi-asset portfolios.
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Sovereign-bond investors may need to be attentive to the risks of “greenflation,” or an increase in inflation due to rising energy prices.
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A vigilant Fed bringing down market inflation expectations could help restore the role of bonds as diversifiers in MAC portfolios, tending to rally when equities sell off.
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Use our interactive chart to highlight different time periods and see when bonds provided stronger (or weaker) diversification against losses in the equity market.
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Use our interactive plot to compare credit term-structure yields and spreads.
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How have markets reacted to new announcements from central banks? Did companies with poorer stock performance account for a greater share of the increase in corporate debt issuance? How have spreads and yields responded? Andy Sparks answers pressing questions for fixed income investors coping with the effects of COVID-19.