Breaking News
Get 45% Off 0
💰 With a 129% YTD gain in the bag, these are our AI’s top global picks for March
Read now

Bonds Analysis & Opinion

Contribute
Mingze Wu
U.S.10 Year: Long Term Outlook Remains Bearish By Mingze Wu - Sep 24, 2013

It was interesting to see US10Y prices climbing yesterday even though stock markets traded lower on supposed QE tapering fears. If indeed stock tapering fears were the main driver for...

David Merkel
Classic: Two Ways To Analyze Corporate Bonds By David Merkel - Sep 24, 2013

This was written on July 16, 2004. I republish it now because it cannot be found on RealMoney’s website. If you subscribe to RealMoney, demand that you can see my old posts.Tighter corporate...

Jason Sen
CGB: Resistance Likely To Hold By Jason Sen - Sep 23, 2013

Ten-Year Government of Canada Bond December hit our buying opportunity at 127.65/60 with stops below 127.50 on Friday and this trade worked perfectly as we bottomed exactly at 127.56.128.30/40 is...

Stuart McPhee
US10Y: Original Bull Trend Receiving Further Push From FOMC By Stuart McPhee - Sep 19, 2013

10 Year Treasury prices jumped sharply, hitting a 5 weeks high following the non-tapering announcement by the Fed. The rally is not unexpected, as market has already priced in a 10% tapering outcome,...

Gregor Horvat
Elliott Wave Forecast: US Bonds Turn Into A Correction? By Gregor Horvat - Sep 18, 2013

I hate to say this again, but major pairs on the FX market place still have a very unclear price action and no direction at all on the intra-day basis. It’s probably “calm before the...

Jason Sen
CGB: Oversold On The Daily Chart By Jason Sen - Sep 17, 2013

Ten-Year Government of Canada December bonds gapped open above 127.95 at 128.07 and then plunged throughout the session to support at 127.12/07 and bottomed almost exactly here at 127.02. below here...

Simon Lack
The Shifting Regulatory Landscape For Bond Investors By Simon Lack - Sep 16, 2013

In my new book, Bonds Are Not Forever; The Crisis Facing Fixed Income Investors, I make the case that some big trends in the U.S. economy and finance began shifting following the financial crisis of...

Danske Markets
Weekly Bond Update   By Danske Markets - Sep 13, 2013

Headlines European CDS indices have tightened gradually this week Reduced primary bond issuance in EUR compared with last week Uncertainty regarding the situation in Syria continues Market...

Continue with Apple
Continue with Google
or
Sign up with Email