Investors are demanding sharply higher yields on government bonds, threatening to upend the Labour Party’s plans to ...
The yield gap between the S&P 500 and Treasurys is the widest it's been since 2002, highlighting the stock market's lost ...
The selloff in government debt is making it costlier to borrow, jarring stocks and pressuring indebted countries.
Malaysia's palm oil stocks fell for a third consecutive month in December to hit their lowest since May 2023, as output ...
Malaysia’s governance risk has climbed and will likely stay elevated in the coming quarters as Prime Minister Anwar Ibrahim ...
China's bond yields have plunged to their lowest levels on record, with the two-year yield about to break below 1.00%, having been 1.50% only a few months ago. Remarkably, China's 30-year yield ...
Euro zone bond ... fall in bond yields. "Market liquidity remains relatively weak, and there are no new (major) data or policy updates, making it difficult to assess," he said. "In the coming weeks, ...
For example, the United States 10-Year Treasury Bond Note Yield is typically considered the “risk-free” rate, the benchmark from which all other yields and potential risks are viewed.
Indian government bond yields inched marginally higher on the first day of the New Year on mild concerns over heavy supply during the January-March quarter. The 10-year bond yield was at 6.7742% as of ...
FOLLOWING the release of Malaysia’s 2025 auction calendar ... This increase in longer-dated bonds is primarily driven by the flattening of the yield curve and the government’s efforts to manage ...
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Risk Disclosure: Trading in financial instruments and/or cryptocurrencies involves high risks including the risk of losing some, or all, of your investment amount, and may not be suitable for all ...