The 30-year fixed remains in its current range, but most expect the rate to reach 6% for 2026, and one observer feels it ...
Learn about portfolio manager duties, required skills, education paths, and salary expectations to understand this financial ...
Holding too many mutual funds doesn't mean better diversification, it often means investing in the same stocks through ...
Climate change is a material consideration for sovereign debt investors, yet fixed income markets have historically lagged ...
Money-market funds pulled in $935 billion in new assets last year, pushing total assets above $8 trillion and surpassing ...
Emerging-market borrowers are taking advantage of a start of the year sellers’ market, with spreads narrowing over US ...
Effective immediately, portfolio manager responsibilities for Nuveen Multi-Asset Income Fund (NYSE: NMAI) have changed. Mark Zheng, James Kim, and John Tribolet are taking over portfolio management ...
Settlement risk refers to the possibility of parties failing to fulfill contract terms on time. Discover its main ...
Annaly Capital maintains a conservative balance sheet, strict leverage discipline, and outperformed peers in price recovery, ...
Global bond investors have turned the most optimistic on emerging markets in 13 years amid a rally driven by greater confidence in fiscal discipline and more money shifting away from the US.
In November 2025, Nigeria returned to the international capital markets with a $2.35 billion Eurobond issuance, one of its ...
While risk is inevitable, financial advisors can shape how clients respond to it. Here, our behavioral finance researchers share pointers on discussing market swings with clients. You’ll also find ...