Fixed Income
News and analysis of fixed income markets including the key factors affecting performance such as interest rates, Federal Reserve policy and the state of the economy.
60/40 Portfolio Slump: Omen or Opportunity?
By Dinah Wisenberg BrinInvesting pros weigh in on what the balanced strategy's worst year in decades tells us about the future.
October 12, 2022
8 Hard Market Challenges for the Rest of 2022When stock and bond bears roar together, it creates tricky challenges for advisors and investors, Integrated Financial Partners CIO Rob Brown says.
October 04, 2022
Cash ETFs Draw Record $36B With Even Dalio Changing TuneInvestors "can actually get paid something nominally for being in short-term bonds," said VettaFi's Dave Nadig.
September 29, 2022
El-Erian: Investors Expect More 'Collateral Damage' From Fed MovesThe economist likened the central bank's behavior to that found in "developing countries with weak institutions."
September 29, 2022
Bond Market Mess Is a Chance to Lock In Higher Yields for LongerInvestors have an opportunity to lock in yields that might not be available next year, Schwab's Kathy Jones says.
September 28, 2022
New Bill Would Raise I Bond Purchase CapThe Savings Security Act of 2022 would raise the annual purchase limit when inflation tops 3.5%.
September 28, 2022
Analysts Look Inside Private Equity-Owned Insurers' VaultsHere's what the NAIC found in the portfolios that support the benefits promises.
September 28, 2022
Jeremy Siegel: Fed's Powell Should Apologize to Americans"I think they're talking way too tough," Wharton economist Jeremy Siegel said of the Fed.