News

Jaime Dimon warned of a coming crisis in the bond market due to the growing US national debt. The evidence of an imminent ...
Meghan Swiber, senior U.S. rates strategist at Bank of America's investment banking arm BofA Securities, joins WSJ’s Take On ...
US stocks (^GSPC, ^IXIC, ^DJI) saw nearly $10 billion in outflows this week, according to data from Bank of America, as ...
Michael Hartnett’s weekly research note, The Flow Show, highlights the dramatic improvement in market sentiment among U.S ...
Emerging market assets may see gains in 2025 as the US dollar weakens, per Bank of America. Explore the trends, opportunities ...
The bond market is flashing a warning sign for stocks for the first time since 1999, according to BofA. The bank highlighted widening credit spreads in CCC-rated bonds. BofA recommends investors ...
A slow but unmistakable shift from credit risk to rates risk is underway,' says BofA Junk bonds are beating the broader U.S. fixed-income market so far in 2024 - but pummeled Treasurys have ...
The bond market screamed at President Donald Trump ... U.S. rates director at Bank of America, said in a note to clients. "Tariffs and the prospect of a shrinking US trade deficit may mount ...
The corporate bond market is entering 2025 amid a backdrop of economic and policy uncertainty, shifting investor sentiment, and significant issuance trends. With 2024 in the rearview mirror ...
The slump in US stocks is likely to prompt policy intervention from President Donald Trump as well as the Federal Reserve, Bank of America Corp ... not a bear market in US stocks,” the ...