US president’s policies are likely to push up dollar-denominated debt, hurting economies such as Mexico and Malaysia ...
We believe the new U.S. administration will adopt a more gradual and pragmatic trade agenda, aiming to avoid creating higher ...
Emerging market countries and companies have issued a flood of bonds topping $55 billion, the most in years, as borrowers rush to lock in cash before the potential tumult of the second Donald Trump ...
A record start to the year for emerging-market bond sales is at risk of fizzling as high Treasury rates hamper weaker credits ...
The new era of unpredictability, marked by tariff threats and rising global tensions, is prompting emerging market investors ...
EM equities faced a volatile Q4 2024 amid macroeconomic and geopolitical pressures, with China's rally fading and India and ...
Global investors have largely brushed off the warnings from the PBoC and continued to hold Chinese government bonds as an investment, believing that their prices will rise more, sending yields further ...
Bank of America Global Research anticipates that hard-currency sovereign bond sales from the Emerging Europe, Middle East, ...
(Bloomberg) -- Emerging-market investors are cherry-picking dollar bonds from some of the weakest developing economies as the rally in everything high-yield starts to fade. Junk bonds from the ...
Romania's attempts to restore investor confidence and lower the European Union's highest budget deficit have hit early ...
Investors are yanking money from emerging markets at the start of 2025 as they weigh how many of Donald Trump’s threats will ...
Global investors with passive investment strategies buy stocks and bonds featuring in global indices, and Bloomberg's ...