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Financial Services Commentary and Analysis

Powering the world's financial markets with data, technology and innovation

We provide industry-leading data, software & technology platforms and managed services to tackle some of the most difficult challenges in financial markets. We help our customers better understand complicated markets, reduce risk, operate more efficiently and comply with financial regulation.

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  • Asia Pacific Financial Services Insights
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  1. 'Brexit' vote spawns pessimism about six-month UK outlook, but longer term prospects are more balanced

    21 July 2016 Chris Williamson

    "UK individuals have grown more downbeat on average about the UK's short-term prospects in the light of the EU referendum, but views on the longer-term..."...

    • Purchasing Managers’ Index (PMI)
  2. Volatility: Refined selection or sector index?

    20 July 2016

    Dissect the process and explore two different methods of calculating volatility.

    • Company Valuations
  3. Falling bond yields bail out indebted firms

    20 July 2016

    "US corporate bonds yields are down significantly since the start of the year, which has seen investor sentiment turn among firms most heavily...

    • Securities Finance
  4. Turkish coup fails to dent appetite for EM bonds

    20 July 2016

    "Turkey, one of the largest issuers of emerging market dollar denominated debt, has seen a rise in credit risk in the wake of last week's coup...

    • Credit Default Swaps (CDS)
  5. Markit Non-Agency RMBS - Yield Summary - July 15, 2016

    18 July 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  6. Most shorted ahead of earnings

    18 July 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Chipotle Mexican Grill sees short...

    • Securities Finance
  7. US financials' bonds rally with earnings season

    18 July 2016

    The start of the second quarter earnings season has seen US bank credit regain all the ground lost in the wake of recent Brexit driven volatility....

    • Credit Default Swaps (CDS)
  8. Shorts' covering continues as US equities surge

    15 July 2016 Relte Stephen Schutte

    The rally seen in US stocks from lows in February has not been felt evenly across large and mid-cap companies; these uneven effects have also...

    • Securities Finance
  9. Week Ahead Economic Overview

    15 July 2016 Chris Williamson

    "Flash PMI data are the highlight of the week, providing policy guidance to central banks in the UK, Eurozone, US and Japan. With the Bank of...

    • Purchasing Managers’ Index (PMI)
  10. Bank of England policy on hold until post-referendum picture revealed

    14 July 2016 Chris Williamson

    "The Bank of England held policy unchanged at its July meeting, choosing to not rush a knee-jerk reaction to the UK's vote to leave the EU and...

    • Purchasing Managers’ Index (PMI)
  11. May's move to No 10 sparks corporate bond rally

    14 July 2016

    "GBP denominated investment grade corporate bonds have rallied in the wake of Theresa May's speedy ascension to the UK prime ministerial job...

    • Credit Default Swaps (CDS)
  12. Brexit lifts gate on commercial property shorts

    13 July 2016 Relte Stephen Schutte

    "Short sellers have continued to gravitate towards UK real estate in the wake of Brexit, with commercial property firms attracting the bulk of...

    • Securities Finance
  13. Global investment downturn signalled as business optimism wanes amid uncertainty

    13 July 2016 Philip Leake

    "Global economic growth was stuck in a low gear at the end of the second quarter, and data suggest that worse may be yet to come. Latest PMI...

    • Purchasing Managers’ Index (PMI)
  14. Eurozone industrial production drop adds to signs of second quarter slowdown

    13 July 2016 Chris Williamson

    Euro area factories saw output fall in May in a further sign of the single currency area failing to maintain growth momentum this year. The disappointing......

    • Purchasing Managers’ Index (PMI)
  15. Eurozone business optimism at lowest ebb since 2014 as political risks intensify

    13 July 2016 Chris Williamson

    "Eurozone business confidence has deteriorated to the lowest since late-2014, according to the latest Markit Business Outlook survey. Conducted...

    • Purchasing Managers’ Index (PMI)
  16. Irish business optimism slips to three-year low as Brexit worries dominate

    12 July 2016 Andrew Harker

    "The decision of the UK electorate to vote to leave the European Union has the potential to knock the Irish economic recovery off course, with...

    • Purchasing Managers’ Index (PMI)
  17. Incremental DLOM: A bridge too far?

    11 July 2016

    Delve deeper into the topic of “incremental DLOM,” how it applies to company valuations, and how this concept differs between ASC Topic 820 and...

    • Company Valuations
  18. Markit Non-Agency RMBS - Yield Summary - July 8, 2016

    11 July 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  19. Markit Agency RMBS - Specified Pool Summary - June 2016

    11 July 2016

    The Markit Agency RMBS Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download...

    • Structured Finance
  20. Most shorted ahead of earnings

    08 July 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers target iconic maker...

    • Securities Finance
  21. Week Ahead Economic Overview

    08 July 2016 Oliver Kolodseike

    "With markets still unsettled following the UK's EU referendum, the Bank of England announces whether or not it will introduce fresh stimulus...

    • Purchasing Managers’ Index (PMI)
  22. US employment surge helps allay short-term growth worries

    08 July 2016 Chris Williamson

    "US employment growth rebounded with a vengeance in June, but the underlying trend remains one of a slowdown in hiring, and it's far from clear...

    • Purchasing Managers’ Index (PMI)
  23. UK hiring falls for first time in nearly four years amid rising Brexit uncertainty

    08 July 2016 Chris Williamson

    "The number of people placed in permanent jobs by recruitment agencies fell in June, dropping for the first time since September 2012 as Brexit...

    • Purchasing Managers’ Index (PMI)
  24. Global economy sees worst quarter since 2012

    08 July 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  25. Yen and deflation defeating Japan

    07 July 2016 Relte Stephen Schutte

    "Japan has been battling deflation since the early '90s, with the country amassing debt to stimulate the economy. But an aging population and...

    • Securities Finance
  26. Equity ETF inflows grind to a halt

    07 July 2016 Relte Stephen Schutte

    "Half way through 2016, net inflows into global equity ETFs are tracking for the worst annual inflow in almost fifteen years as market jitters...

    • Securities Finance
  27. UK industry enjoys fastest growth for six years ahead of Brexit vote

    07 July 2016 Chris Williamson

    "UK industry was growing at the fastest rate for six years in the three months to May, according to official data, but there are serious doubts...

    • Purchasing Managers’ Index (PMI)
  28. Markit Non-Agency RMBS - Yield Summary - July 1, 2016

    05 July 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  29. Sterling fall counteracts '1bn Brexit dividend hit

    05 July 2016 Relte Stephen Schutte

    Markit Dividend Forecasting expects the recent EU referendum to have wide ranging implications for dividend payments; however the recent fall...

    • Securities Finance
  30. Brexit attracts shorts to European banks

    05 July 2016 Relte Stephen Schutte

    "Short interest across European banks was trending higher in the weeks leading up to the recent UK referendum, and has since surged as these...

    • Securities Finance
  31. UK PMI signals near-stalling of economy in June

    05 July 2016 Chris Williamson

    "The PMI surveys indicate that the pace of UK economic growth slowed to just 0.2% in the second quarter, losing further momentum in June as Brexit...

    • Purchasing Managers’ Index (PMI)
  32. Global economy sees weakest quarter since 2012

    05 July 2016 Chris Williamson

    "Global economic growth failed to pick up from the sluggish pace seen in May, indicating that the world remains mired in the worst growth phase...

    • Purchasing Managers’ Index (PMI)
  33. Week Ahead Economic Overview

    04 July 2016 Chris Williamson

    "As markets continue to digest the potential impact of Brexit, economic data will provide an important steer on the health of the UK and global...

    • Purchasing Managers’ Index (PMI)
  34. Most shorted ahead of earnings

    01 July 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers target iconic maker...

    • Securities Finance
  35. Weak Global PMI rounds off worst quarter for three years

    01 July 2016 Chris Williamson

    "Global manufacturing remained mired in near-stagnation in June, recording one of the weakest expansions seen since late-2012, a time when the...

    • Purchasing Managers’ Index (PMI)
  36. Vietnamese manufacturing ends second quarter on positive note

    01 July 2016 Andrew Harker

    "PMI data indicate that the Vietnamese economy remains one of the brighter lights in the region as we enter the second half of the year, with...

    • Purchasing Managers’ Index (PMI)
  37. China manufacturing downturn gathers further momentum in June

    01 July 2016 Chris Williamson

    A third consecutive monthly fall in the PMI suggests that China's manufacturing economy is undergoing a renewed downturn after the rate of contraction...

    • Purchasing Managers’ Index (PMI)
  38. Loan ETFs see best quarterly inflow in two years

    01 July 2016

    "Leveraged loans have managed to steer clear of Brexit jitters, posting another quarter of solid returns. Markit iBoxx USD Liquid Leveraged Loans...

    • Credit Default Swaps (CDS)
  39. How volatility affects our valuation

    30 June 2016

    Take a closer look at how volatility affects our valuation and rules of thumb to keep in mind when making determinations.

  40. Shorts take a shine to 'TeslaCity'

    30 June 2016 Relte Stephen Schutte

    "Tesla's related party bid for Solarcity has seen declines in it shares price eclipse that of the entire value bid for SolarCity, with short...

    • Securities Finance
  41. UK business investment falls as uncertainty mounts and economy slows

    30 June 2016 Chris Williamson

    Signs of early Brexit worries affecting the economy were provided by official data showing business investment falling in the first quarter of...

    • Purchasing Managers’ Index (PMI)
  42. Calm returns to periphery bonds but doubts remain

    30 June 2016

    "Periphery sovereign credit has rallied from a setback in the wake of last Thursday's UK referendum, but investor confidence still remains shaken....

    • Credit Default Swaps (CDS)
  43. European short sellers miss out Brexit bonanza

    29 June 2016

    European short sellers were as unprepared for Brexit as the rest of the market and there have been few signs of a rush to short the firms most...

    • Securities Finance
  44. Corporate bond returns hold firm after Brexit

    29 June 2016

    Euro and sterling corporate bond returns have held up despite rising credit risk following the UK's decision to leave the European Union. Markit...

    • Credit Default Swaps (CDS)
  45. Spot risky dividends, with confidence

    28 June 2016 Relte Stephen Schutte

    "Dividend policies across the world were experiencing the largest shakeup in three years before Thursday's Brexit referendum, which has caused...

    • Securities Finance
  46. ETF investors return after fleeing ahead of Brexit

    28 June 2016 Relte Stephen Schutte

    "Prior to the UK referendum, ETF investors were withdrawing funds exposed to Europe with net consecutive outflows totalling almost $5bn. However...

    • Securities Finance
  47. Markit Non-Agency RMBS - Yield Summary - June 24, 2016

    27 June 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  48. US flash PMI surveys signal economic malaise extending into June

    27 June 2016 Chris Williamson

    "The flash PMIs for June paint a disappointing picture of the underlying health of the US economy at the end of the second quarter. At 51.2...

    • Purchasing Managers’ Index (PMI)
  49. Investors favour high yield bonds following Brexit vote

    27 June 2016

    "Despite the rising risk in credit markets after last week's Brexit vote, investors' appetite for high yield bonds has remained resilient. Markit...

    • Credit Default Swaps (CDS)
  50. Most shorted ahead of earnings

    24 June 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Freight and transportation targeted...

    • Securities Finance
  51. Credit markets in freefall after shock Brexit result

    24 June 2016

    "Investors dump risk after UK vote's 52%-48% in favour of leaving the EU UK 5-yr sovereign CDS spread has widened by 69%, to 56bps Contagion...

    • Credit Default Swaps (CDS)
  52. Weighing in on the market approach: What holds water?

    23 June 2016

    Determine which metrics should be examined and what questions should be asked when assigning weight to a company’s financials.

  53. A short trade to sleep on

    23 June 2016 Relte Stephen Schutte

    "An explosion in online bed firms in the US such as Casper has seen short sellers target 'traditional' bed retailers over the past six months...

    • Securities Finance
  54. Week Ahead Economic Overview

    23 June 2016 Oliver Kolodseike

    "Worldwide manufacturing PMI results will provide analysts with important information on industry trends at the end of the second quarter, while...

    • Purchasing Managers’ Index (PMI)
  55. Weak US flash June manufacturing PMI rounds off worst quarter since 2009

    23 June 2016 Chris Williamson

    "The flash PMI for June brought welcome news of improved performance of US manufacturing, but the sector still looks to have acted as a drag...

    • Purchasing Managers’ Index (PMI)
  56. Japan flash manufacturing PMI adds to economic growth worries

    23 June 2016 Chris Williamson

    "PMI data suggest that the Japanese manufacturing economy remained mired in a renewed downturn in June, with the survey also flashing warning...

    • Purchasing Managers’ Index (PMI)
  57. Eurozone growth dented by lower business optimism

    23 June 2016 Chris Williamson

    June's flash PMI survey data from Markit point to steady though disappointingly lacklustre Eurozone economic growth. Rising political uncertainty...

    • Purchasing Managers’ Index (PMI)
  58. Global fixed income focus - May 2016

    23 June 2016 Chris Fenske

    "Energy and basic materials loan sector spreads widened across every rating category in May, with North American B- energy spreads widening 101bps...

    • Credit Default Swaps (CDS)
  59. Hedging for Brexit and 'black swans'

    22 June 2016 Relte Stephen Schutte

    Investors concerned with limiting downside risk to unforeseen (and foreseen) market events can potentially enhance performance by avoiding stocks...

    • Securities Finance
  60. Indian bonds prove resilient to recent upheaval

    22 June 2016

    A slowing manufacturing sector and the upcoming departure of its popular central banker have not put investors off Indian bonds both at home...

    • Credit Default Swaps (CDS)
  61. German discounters drive US grocery shorts

    21 June 2016

    "After shaking up the UK grocery landscape, German retailers are setting their sights on the US market; encouraging short interest in US grocery...

    • Securities Finance
  62. CLOcomotion

    21 June 2016

    "After enjoying a recovery following January and February's market volatility, risk in the CLO market is on the rise again amid tighter regulation....

    • Credit Default Swaps (CDS)
  63. Markit Non-Agency RMBS - Yield Summary - June 17, 2016

    20 June 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  64. Shorts cover ahead of vote, avoid squeeze

    20 June 2016 Relte Stephen Schutte

    A review of how short positions have changed ahead of the UKs referendum vote this week. The tight vote sees short sellers unwilling to take...

    • Securities Finance
  65. CDS market fears recede as Brexit odds sink

    20 June 2016

    European credit spreads are enjoying a unanimous rally today as the odds of the UK leaving the European Union recede. UK sovereign CDS spreads...

    • Credit Default Swaps (CDS)
  66. Most shorted ahead of earnings

    17 June 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. US homebuilders KB and Lennar join...

    • Securities Finance
  67. Brexit fears spark credit volatility; loans recovery

    17 June 2016

    "In this week's credit wrap, fears of a UK exit from the European Union sparks market volatility, the Fed holds interest rates steady and leveraged...

    • Credit Default Swaps (CDS)
  68. ECB fails to spark appetite for Eurozone equities

    16 June 2016 Relte Stephen Schutte

    "The ECB continues to pump billions into the European financial system, but investors in European equity ETFs have been withdrawing billions...

    • Securities Finance
  69. Week Ahead Economic Overview

    16 June 2016 Oliver Kolodseike

    "In a week that sees the UK vote on whether or not to remain in the European Union, PMI data will give guidance on global economic trends in...

    • Purchasing Managers’ Index (PMI)
  70. US Fed keeps policy on hold

    16 June 2016 Chris Williamson

    "As expected, the US Fed kept policy on hold at its June meeting, worried about signs of a weakening labour market in particular. Two further...

    • Purchasing Managers’ Index (PMI)
  71. UK retailers enjoy spring surge in sales

    16 June 2016 Chris Williamson

    UK retail sales surged higher in May in a sign that consumer spending continues to boost the economy. Sales surge Sales in volume terms rose...

    • Purchasing Managers’ Index (PMI)
  72. ECB corporate lifts all euro denominated debt

    16 June 2016

    Fears that the ECB's decision to expand its quantitative easing program into the corporate bond space would amount to a back door subsidy for...

    • Credit Default Swaps (CDS)
  73. Prime property shorts in China

    15 June 2016 Relte Stephen Schutte

    "Burnt by falling equities, Chinese investors' increased appetite for prime urban real estate has pushed prices even higher in 2016. However...

    • Securities Finance
  74. UK unemployment falls to lowest in over a decade, but job creation slows

    15 June 2016 Chris Williamson

    News of better than expected health of the labour market in April suggests that employment is holding up despite signs that the economy is in...

    • Purchasing Managers’ Index (PMI)
  75. Global all-industry output loses growth momentum amid slowdowns in manufacturing and services

    15 June 2016 Pollyanna De Lima

    "Although the global economy remained in expansion mode during May, a subdued trend in output growth prevailed, with the rate of expansion being...

    • Purchasing Managers’ Index (PMI)
  76. Fixed income sectors in double digit returns for 2016

    15 June 2016

    Bonds have produced substantial returns for investors so far this year - we look at the top performing sectors. Markit iBoxx $ Basic Materials...

    • Credit Default Swaps (CDS)
  77. Introduction to volatility

    14 June 2016

    Gain understanding of volatility and the impact it has on the value of private companies.

    • Company Valuations
  78. Short covering hits securities lending profitability

    14 June 2016

    "The appetite to short sell in the US equities has fallen from the fever pitch of the opening months of the year, which has taken some of the...

    • Securities Finance
  79. Bond investors flock to US amid global yield drought

    14 June 2016

    US exposed bond ETFs listed overseas have been the hot trade in the global quest for yield with these assets set to smash last year's inflow...

    • Credit Default Swaps (CDS)
  80. Markit Non-Agency RMBS - Yield Summary - June 10, 2016

    13 June 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  81. Oil's resurgence sees shorts refine their bets

    13 June 2016 Relte Stephen Schutte

    Oil refiners have previously benefited from sliding prices and inflating margins but with a steady recovery in crude prices eating into refining...

    • Securities Finance
  82. Portuguese bond returns lag eurozone peers

    13 June 2016

    "Falling government bond yields in Europe have been boosted returns in the region, but investors still remain cautious on Portugal's creditworthiness...."...

    • Credit Default Swaps (CDS)
  83. Most shorted ahead of earnings

    10 June 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Fatigue in gun sales sees short...

    • Securities Finance
  84. Week Ahead Economic Overview

    10 June 2016 Oliver Kolodseike

    "All eyes will be directed at the US on Thursday, when the FOMC announces its decision on whether or not to raise interest rates. Central banks...

    • Purchasing Managers’ Index (PMI)
  85. UK construction upturn in April belies weakening building sector trend

    10 June 2016 Chris Williamson

    "As with the better than expected official manufacturing data for April, official construction data paint a brighter picture of the economy at...

    • Purchasing Managers’ Index (PMI)
  86. Government bond yields tumble; Oman taps market

    10 June 2016

    "In this week's credit wrap, government bond yields fall to record lows, Oman issues international bonds and the lowest rated European high yield...

    • Credit Default Swaps (CDS)
  87. Trading Brexit

    09 June 2016 Relte Stephen Schutte

    Uncertainty around the UK's referendum has already negatively impacted UK companies but has just ticked higher as we near to the vote. An exit...

  88. Nigeria PMI signals renewed downturn as recession looms

    09 June 2016 Philip Leake

    Recent data releases suggest that Nigeria is at risk of sliding into recession. After GDP figures published last month showed that the economy...

    • Purchasing Managers’ Index (PMI)
  89. Markets react to ECB's corporate bond buying

    09 June 2016

    The recent rally seen across euro denominated bonds has taken their yields near all-time low levels; however the developments have as much to...

    • Credit Default Swaps (CDS)
  90. Long live the UK high street

    08 June 2016 Relte Stephen Schutte

    "Despite recent high street icons falling into administration, short sellers have covered positions across UK retailers which have pulled average...

    • Securities Finance
  91. UK factory output surges in April, but surveys cast doubt on sector's resilience

    08 June 2016 Chris Williamson

    "The UK manufacturing sector enjoyed its strongest expansion since July 2012 at the start of the second quarter, according to the Office for...

    • Purchasing Managers’ Index (PMI)
  92. Investors flock to emerging market bonds

    08 June 2016

    "After a subdued May, fixed income investors are returning to emerging markets amid stronger commodity prices and a weaker US dollar. EM bond...

    • Credit Default Swaps (CDS)
  93. US jobs report spurs on emerging market bulls

    07 June 2016

    The recent poor US non-farm payroll number has encouraged market bulls as the spectre of rising US interest rates receded. Emerging market equity...

    • Securities Finance
  94. Global economic growth falters in May

    07 June 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  95. Credit spreads converge despite diverging policies

    07 June 2016

    "A brighter economic outlook has seen US and European credit indices converge, despite credit investors facing the prospect of diverging monetary...

    • Credit Default Swaps (CDS)
  96. Markit Non-Agency RMBS - Yield Summary - June 3, 2016

    06 June 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  97. Short selling time share and travel agents

    06 June 2016 Relte Stephen Schutte

    "Maturing internet companies like Airbnb are fuelling a wave of change across the hotel and leisure industry as consumers change their booking...

    • Securities Finance
  98. UK 'Brexit' uncertainty hurting over one-in-three companies

    06 June 2016 Chris Williamson

    More than one-in-three companies report that uncertainty over the outcome of the EU referendum is having a detrimental effect on their business.......

    • Purchasing Managers’ Index (PMI)
  99. Oil recovery lifts high yield bonds

    06 June 2016

    "High yield oil and gas bonds have rebounded strongly from the lows seen in February, benefitting the wider high yield bond asset class. Markit...

    • Credit Default Swaps (CDS)
  100. Most shorted ahead of earnings

    03 June 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Canada's largest newspaper printer...

    • Securities Finance
  101. Week Ahead Economic Overview

    03 June 2016 Oliver Kolodseike

    Analysts will get a better idea of second quarter GDP trends in Europe when industrial production numbers are released across the eurozone and...

    • Purchasing Managers’ Index (PMI)
  102. US labour market gloom adds to PMI signal of second quarter malaise

    03 June 2016 Chris Williamson

    "A sharp slowing in the pace of hiring in the US, and an all-round gloomy employment report for May, raises serious doubts about whether the...

    • Purchasing Managers’ Index (PMI)
  103. UK PMI points to economic growth of 0.2% in second quarter as Brexit uncertainty mounts

    03 June 2016 Chris Williamson

    "The pace of UK economic growth lifted slightly higher in May, but remained close to the weakest seen over the past three years. Employment growth...

    • Purchasing Managers’ Index (PMI)
  104. Japan PMI surveys point to second quarter economic decline

    03 June 2016 Chris Williamson

    "The Nikkei PMI data for Japan, compiled by Markit, cast doubt on Japan's ability to continue growing after a surprisingly buoyant start to the...

    • Purchasing Managers’ Index (PMI)
  105. US treasury yields plunge; SA credit under scrutiny

    03 June 2016

    "In this week's credit wrap, non-farm payrolls misses, South Africa's investment grade status under threat and investors return to Asian bonds....

    • Credit Default Swaps (CDS)
  106. Global economic growth falters in May

    03 June 2016 Chris Williamson

    Global economic growth stumbled in May, according to PMI data, suggesting the weak start to the year has persisted into the second quarter. While...

    • Purchasing Managers’ Index (PMI)
  107. Markit Agency RMBS - Specified Pool Summary - May 2016

    02 June 2016

    The Markit Agency RMBS Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download...

    • Structured Finance
  108. No hedge fund hotels on the short side

    02 June 2016

    Accusations of hedge fund crowding into positions to not hold up on the short side as short positions among the Russell 3000 constituents become...

    • Securities Finance
  109. Chinese ecommerce battle waged in ADRs

    02 June 2016 Relte Stephen Schutte

    "Ahead of possible incorporation into the MSCI's emerging market indices, mainland Chinese firms are being increasingly short sold through ETFs...

    • Securities Finance
  110. Brexit fears jolt sterling bond liquidity

    02 June 2016

    "As the UK's EU referendum approaches, associated uncertainty has seen risk in the sterling corporate bond market rise, with liquidity taking...

    • Credit Default Swaps (CDS)
  111. Markit Non-Agency RMBS - Yield Summary - May 27, 2016

    01 June 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  112. Chinese factory job cull continues as manufacturing activity stumbles in May

    01 June 2016 Chris Williamson

    "Manufacturing operating conditions in China deteriorated at the fastest rate for three months in May, reflecting a renewed fall in new orders...

    • Purchasing Managers’ Index (PMI)
  113. Asian manufacturing downturn extends into May as export trend deteriorates

    01 June 2016 Chris Williamson

    "The Asian manufacturing downturn persisted into its fifteenth consecutive month in May, with the rate of decline accelerating slightly to the...

    • Purchasing Managers’ Index (PMI)
  114. New technology lowers old barriers to loan market

    31 May 2016

    "The IMN Investors' Conference on CLOs and Leveraged Loans on May 16-17 in New York brought together several hundred professionals from the syndicated..."...

  115. Short sellers clouding out residential solar

    31 May 2016 Relte Stephen Schutte

    Average short interest across solar stocks has once again started to heat up with residential US operators being widely targeted as the industry...

    • Securities Finance
  116. US most fertile ground for May inflation bulls

    31 May 2016

    US inflation is bounced back from its lows in the last month while the Eurozone is still stuck in deflation this has seen ETF investors add to...

    • Credit Default Swaps (CDS)
  117. SEC Rule 606: Repair is needed before any more pilot programs are started

    27 May 2016 David Weisberger

    "Since the SEC's Rule 606 fails to require disclosure of the vast majority of routed orders, and there are no publicly available statistics on...

  118. Most shorted ahead of earnings

    27 May 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Changing tastes sees Zumiez join...

    • Securities Finance
  119. Week Ahead Economic Overview

    27 May 2016 Oliver Kolodseike

    "In a busy week for economic data watchers, worldwide PMI results will provide more information on the health of the global economy midway through...

    • Purchasing Managers’ Index (PMI)
  120. Greece receives more aid; coco issuance picks up

    27 May 2016

    "In this week's credit wrap, creditors grant Greece more aid, while elsewhere in the markets coco issuance picks up and diverging monetary policy...

    • Credit Default Swaps (CDS)
  121. Building a best execution framework

    26 May 2016 David Weisberger

    Despite the second Markets in Financial Instruments Directive (MiFID II) being delayed to January 2018, the urgency around implementing plans...

  122. Japan running out of Abenomic arrows

    26 May 2016 Relte Stephen Schutte

    "Analysts have aggressively downgraded the outlook for longer term earnings in Japan as the yen continues to rise, placing more pressure on exports...

    • Securities Finance
  123. UK house prices show signs of cooling after three-year surge

    26 May 2016 Chris Williamson

    "UK house prices fell 0.8% in April, according to the Halifax House Price Index. The fall followed a 2.2% surge in March, and still leaves home...

    • Purchasing Managers’ Index (PMI)
  124. UK consumers prop up ailing economy in first quarter

    26 May 2016 Chris Williamson

    Updated official data confirm that the pace of UK economic growth slowed in the opening quarter of the year; a trend which survey data maintained...

    • Purchasing Managers’ Index (PMI)
  125. Global fixed income focus - April 2016

    26 May 2016 Chris Fenske

    Calmer global financial markets provided the backdrop for corporate bonds to rally across the month. Major developed nation central banks were...

    • Credit Default Swaps (CDS)
  126. US flash PMI downturn dampens second quarter rebound hopes

    25 May 2016 Chris Williamson

    Hopes of US economic growth rebounding in the second quarter were dealt a blow by weak flash PMI data from Markit. A slowdown in the pace of...

    • Purchasing Managers’ Index (PMI)
  127. Short sellers zero in on US election wage talk

    25 May 2016

    "Wages have played a key role in rhetoric around the current US election, encouraging sellers to position themselves to profit from a rise in...

    • Securities Finance
  128. Securitised peer-to-peer loans see risk escalate

    25 May 2016

    Recent troubles at Lending Club have only compounded risk in the peer-to-peer credit market P2P backed loans were introduced in 2014 and saw...

    • Credit Default Swaps (CDS)
  129. Investors find utility in dividends

    24 May 2016 Relte Stephen Schutte

    "Generating insatiable investor demand, the US utilities sector continues to outperform but as yields compress to below those of high grade corporate...

    • Securities Finance
  130. Market recovery asserted by falling distressed bond numbers

    24 May 2016

    The US high yield bond market has seen the number of distressed bonds continue to fall over the past month. Ratio of distressed bonds in the...

    • Credit Default Swaps (CDS)
  131. Markit Non-Agency RMBS - Yield Summary - May 20, 2016

    23 May 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  132. Shorts upgrade timepieces, rotate into Richemont

    23 May 2016 Relte Stephen Schutte

    The utility of both traditional watches and wearables remains under debate as short sellers position for waning demand as products compete against...

    • Securities Finance
  133. US flash manufacturing PMI sinks to lowest since September 2009

    23 May 2016 Chris Williamson

    Disappointing flash manufacturing PMI data cast doubt on the ability of the US economy to rebound from its weak start to the year. The seasonally...

    • Purchasing Managers’ Index (PMI)
  134. Japan flash manufacturing PMI signals steepening export-led downturn

    23 May 2016 Chris Williamson

    PMI data point to Japan's all-important manufacturing economy suffering its steepest downturn since late 2012. The Nikkei Flash Japan Manufacturing...

    • Purchasing Managers’ Index (PMI)
  135. Eurozone flash PMI weakness fuels concerns over second quarter slowdown

    23 May 2016 Chris Williamson

    A disappointing flash eurozone PMI for May adds further to the suggestion that the robust pace of economic growth seen in the first quarter will...

    • Purchasing Managers’ Index (PMI)
  136. Bank bond spreads outperform wider market

    23 May 2016

    "Although bank bonds have unperformed so far this year, the past month has seen the spread between banks and the wider corporate bond market...

    • Credit Default Swaps (CDS)
  137. Most shorted ahead of earnings

    20 May 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers continue to cover...

    • Securities Finance
  138. Investors play safe while avoiding high flyers

    20 May 2016

    "Investors have chosen to pile into funds which aim to invest in 'safe' shares since the start of the year, while those that invest in high momentum...

    • Securities Finance
  139. Week Ahead Economic Overview

    20 May 2016 Oliver Kolodseike

    Flash PMI results will provide analysts with the first available information on global economic trends in a week that also sees the release of...

    • Purchasing Managers’ Index (PMI)
  140. ETF investors pile in to treasuries despite Fed noise

    20 May 2016

    "Last week saw the probability of a Federal Reserve June interest hike surge ahead, but investors' appetite for treasuries remains steady despite...

    • Credit Default Swaps (CDS)
  141. Technology short sellers target hardware makers

    19 May 2016

    Slowing technology hardware sales have seen short sellers target both technology hardware as well as the semiconductor firms which supply the...

    • Securities Finance
  142. European hybrid bonds continue to underperform

    19 May 2016

    Idiosyncratic risk in the European corporate hybrid bond sector has seen new issuance stall and credit spreads rise. European Hybrid bonds have......

    • Credit Default Swaps (CDS)
  143. Trading analysis is critical in best execution

    18 May 2016 David Weisberger

    TCA has evolved into a tool that enhances transparency in the trade execution process. It can provide detailed indications on overall trading...

  144. KYC utilities offer a refreshing approach for APAC

    18 May 2016 Jon May

    I recently had the privilege of participating in roundtables hosted by Deutsche Bank and HSBC in Singapore and Hong Kong. Other local banks and...

  145. FATCA remediation - are you ready or are you buried in an avalanche?

    18 May 2016

    Procrastination is easy when the task at hand appears too difficult to tackle. A number of US financial institutions (USFIs)and foreign financial......

  146. European investors stick to domestic HY bonds

    18 May 2016

    "Global high yield bond ETFs have been shunned by investors despite yields continuing to fall, but the European high yield market has proved...

    • Credit Default Swaps (CDS)
  147. Apples and oranges - When to include discounts

    17 May 2016

    Discount for Lack of Marketability (DLOM) becomes relevant in valuations where “marketable values” are utilized as indicators of a private company’s...

    • Company Valuations
  148. Markit Non-Agency RMBS - Yield Summary - May 13, 2016

    17 May 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  149. Referendum sees bears circle UK hospitality firms

    17 May 2016

    Short sellers have targeted UK hospitality operators as the impending referendum and newly enacted national living wage cloud the sector. Consumer...

    • Securities Finance
  150. Crude oil woes impact municipal bond spreads

    17 May 2016

    "Major oil producing US states are suffering the negative impact of crude oil price volatility on their municipal debt. Texas, North Dakota...

    • Credit Default Swaps (CDS)
  151. Retail bears emerge after earnings disappoint

    16 May 2016

    "US retailers have seen a wave of negative sentiment in the last month, defying recent and relatively upbeat spending and sentiment surveys released...

    • Securities Finance
  152. Nigeria's economic worries mount as inflation hits near six-year high

    16 May 2016 Philip Leake

    "Nigerian inflation accelerated to the fastest in almost six years during April, according to CPI figures released earlier today by the National...

    • Purchasing Managers’ Index (PMI)
  153. CDS market readies for wave of retail downgrades

    16 May 2016

    After US retailer Gap's downgrade to 'junk' status the credit default swap (CDS) market is implying more downgrades to come across the battered...

    • Credit Default Swaps (CDS)
  154. Shhh, Be Vewy, Vewy Quiet, We're Hunting Dark Pools

    15 May 2016 David Weisberger

    "As George Carlin once asked, "Is there another word for synonym?" When it comes to the name "Dark Pools," I wish we had followed our instincts...

  155. The evolving role of best execution analysis

    13 May 2016 David Weisberger

    Overall complexity in the market, combined with a general lack of available market data from a centralised/regulated source, is driving the evolution......

  156. Most shorted ahead of earnings

    13 May 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Changing fashion sees US apparel...

    • Securities Finance
  157. US retail sales buoy hopes of second quarter economic rebound

    13 May 2016 Chris Williamson

    Hopes were raised for a second quarter rebound in the US economy as retail sales smashed expectations in April. Faster than expected sales growth...

    • Purchasing Managers’ Index (PMI)
  158. Spectacular start to the year for Germany as GDP surges

    13 May 2016 Oliver Kolodseike

    "It was a better than expected start to the year for the German economy, as its GDP growth rate more than doubled in the opening quarter of 2016....

    • Purchasing Managers’ Index (PMI)
  159. Hong Kong economy at risk of recession as GDP falls in first quarter

    13 May 2016 Chris Williamson

    "Hong Kong's economy contracted in the first quarter of 2016, and weak PMI survey data point to a heightened risk of a further decline in the...

    • Purchasing Managers’ Index (PMI)
  160. Bank of England warns of economic risks from Brexit

    13 May 2016 Chris Williamson

    "The Bank of England left policy unchanged at its May meeting, as widely expected. No serious discussions on any change in policy are anticipated...

    • Purchasing Managers’ Index (PMI)
  161. BoE weighs in on Brexit; Gap's risk surges on downgrade

    13 May 2016

    "In this week's credit wrap, Bank of England governor Mark Carney weighs in on the Brexit debate, US retailer Gap gets downgraded to junk and...

    • Credit Default Swaps (CDS)
  162. The great value investing rotation

    12 May 2016

    ETF investors have been actively shifting their style based strategies in US Equities over the last few months to take a more cautious view after...

    • Securities Finance
  163. Investors punish debt loaded European equities

    12 May 2016 Relte Stephen Schutte

    "Driven by the 'Draghi Rally' and after posting two months of positive returns, momentum has faded and investors have sold off European equities...

    • Securities Finance
  164. Week Ahead Economic Overview

    12 May 2016 Oliver Kolodseike

    "US inflation and industrial production numbers are likely to add to the policy debate at the Fed, while the Bank of Japan will be scrutinising...

    • Purchasing Managers’ Index (PMI)
  165. Global manufacturing output growth slows, underpinned by weak consumer demand

    12 May 2016

    "Global economic growth picked up slightly at the start of the second quarter of 2016, but was still one of the weakest seen over the past three...

    • Purchasing Managers’ Index (PMI)
  166. iTraxx net notional spikes post-ECB QE decision

    12 May 2016

    "The prospect of the ECB buying up corporate bonds, potentially squeezing supply in the sector, has meant investors have looked for alternative...

    • Credit Default Swaps (CDS)
  167. Struggling UK factories weigh on economic growth

    11 May 2016 Chris Williamson

    "UK factory output disappointed in March, confirming that the sector acted as a drag on the wider economy in the first quarter. Furthermore...

    • Purchasing Managers’ Index (PMI)
  168. Global financial activity rebounds in April

    11 May 2016 Trevor Balchin

    "Markit's global sector PMITM data signalled renewed growth in the financial sector in April, following a weak spell in February and March. Solid...

    • Purchasing Managers’ Index (PMI)
  169. Global economy stuck in low gear at start of Q2

    11 May 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  170. Indonesia leads Asean domestic bond outperformance

    11 May 2016

    "China's latest economic interventions and the Fed's retreat from interest rate hikes have encouraged investors to return to emerging market...

    • Credit Default Swaps (CDS)
  171. Fatigue in MLM shorts as Herbalife drags on

    10 May 2016 Relte Stephen Schutte

    "Short campaigns against MLM firms have been unable to reach a major breakthrough, which has in turn seen short sellers cover their positions...

    • Securities Finance
  172. UK trade deficit at eight-year high

    10 May 2016 Chris Williamson

    A record goods trade deficit in the first quarter is the latest sign that the UK's economic woes are deepening. Data from the Office for National......

    • Purchasing Managers’ Index (PMI)
  173. UK employers turn to temporary staff amid rising uncertainty

    10 May 2016 Jack A. Kennedy

    Signs of a slowing economy and uncertainty around Britain's EU referendum appear to have resulted in a shift in emphasis from permanent to temporary...

    • Purchasing Managers’ Index (PMI)
  174. Polish and Hungarian bonds miss emerging market rally

    10 May 2016

    "The two largest Eastern European emerging market Eurodollar issuers, Poland and Hungary have seen their dollar denominated debt underperform...

    • Credit Default Swaps (CDS)
  175. Peer to peer lenders prove shorts right

    09 May 2016

    "Short sellers have been circling unconventional lending companies LendingClub and OnDeck since their 2014 IPOs, and are adding to their already...

    • Securities Finance
  176. Markit Non-Agency RMBS - Yield Summary - May 6, 2016

    09 May 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snapshot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  177. Measuring municipal bond market liquidity

    09 May 2016 Chris Fenske

    "We reviewed trade and quote activity on approximately 570,000 unique municipal bonds from January 2015 through March 2016. The study surveyed...

    • Credit Default Swaps (CDS)
  178. Conviction to reduce loan trade settlement time grows

    06 May 2016 Scott Kostyra

    "The LSTA Operations conference in New York on May 3rd brought together several hundred professionals from the syndicated loan market. This year's...

  179. Most shorted ahead of earnings

    06 May 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Over two thirds of timeshare and...

    • Securities Finance
  180. Waning US hiring trend adds to signs of second quarter economic weakness

    06 May 2016 Chris Williamson

    "The pace of hiring in the US eased more than expected in April, adding to signs that the slowing in the rate of economic growth in the first...

    • Purchasing Managers’ Index (PMI)
  181. Keep on TruPin

    06 May 2016

    The Trust Preferred CDO market is showing signs of life following eight years of dormancy post financial crisis. Spreads remain elevated but...

    • Credit Default Swaps (CDS)
  182. Keep on TruPin'

    06 May 2016

    The Trust Preferred CDO market is showing signs of life following eight years of dormancy post financial crisis. Spreads remain elevated but...

    • Credit Default Swaps (CDS)
  183. Investors flee high yield; Euro banks back in spotlight

    06 May 2016

    "In this week's credit wrap, investors have started to dump high yield bonds again, European financials come (back) under pressure and UK inflation...

    • Credit Default Swaps (CDS)
  184. HSBC's very fragile dividend

    05 May 2016 Relte Stephen Schutte

    "HSBC has supported payments to shareholders with the use of scrip dividends but regulatory pressures, weak earnings and shareholders opting...

    • Securities Finance
  185. Week Ahead Economic Overview

    05 May 2016 Oliver Kolodseike

    Eurozone policy makers will keep an eye on industrial production numbers and updated first quarter GDP data for signs that the region's economy...

    • Purchasing Managers’ Index (PMI)
  186. UK economy near stalling as PMI signals slowest growth for over three years

    05 May 2016 Chris Williamson

    "UK economic growth slowed sharply in April according to the PMI surveys, suggesting the second quarter could see GDP growth weaken further compared...

    • Purchasing Managers’ Index (PMI)
  187. CDS-bond arbitrage tightens as bonds continue recovery

    05 May 2016

    "Amid a more settled macroeconomic outlook, April saw a continued positive shift in the difference between credit default swap spreads and their...

    • Credit Default Swaps (CDS)
  188. Markit Agency RMBS - Specified Pool Summary - April 2016

    04 May 2016

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  189. Energy rally breaking bears' conviction

    04 May 2016 Relte Stephen Schutte

    "Fuelled by a recovery in energy markets, high conviction short trades have turned sour as crowded positions deliver the worst performances seen...

    • Securities Finance
  190. New election called amid signs of political uncertainty affecting the Spanish economy

    04 May 2016 Andrew Harker

    Spain is set for a further period of political uncertainty as the deadline passed for the country's political parties to come to an agreement...

    • Purchasing Managers’ Index (PMI)
  191. Global manufacturing stagnates at start of second quarter

    04 May 2016 Chris Williamson

    "Global PMI data indicated a near-stagnation of the manufacturing economy in April. The JPMorgan PMI, compiled by Markit from its worldwide business..."...

    • Purchasing Managers’ Index (PMI)
  192. Gold rally shines on miners' bonds

    04 May 2016

    "Although gold has surged by over 15% this year, the commodity's price has been outpaced by the bonds issued by gold miners, according to the...

    • Credit Default Swaps (CDS)
  193. Markit Agency RMBS – Specified Pool Summary – April 2016

    03 May 2016

    The Markit Agency RMBS Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download...

    • Structured Finance
  194. Markit Non-Agency RMBS - Yield Summary - April 29, 2016

    03 May 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  195. Overseas investors cash out of Japan

    03 May 2016

    "The stalling Japanese economy has discouraged overseas investors over the last six months, whose holding of Japanese assets has decreased materially...."...

    • Securities Finance
  196. Most shorted ahead of earnings

    29 April 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Biotech stocks feature among the...

    • Securities Finance
  197. Week Ahead Economic Overview

    29 April 2016 Oliver Kolodseike

    "PMI results will be the focus during the week, with business survey results providing the first available information on global economic trends...

    • Purchasing Managers’ Index (PMI)
  198. UK employees report higher pay reviews in 2016, but average wage rise of only 1.3% signalled

    29 April 2016 Chris Williamson

    "Survey data collected in March and April point to disappointingly weak UK pay reviews in 2016, though wage pressures have picked up slightly...

    • Purchasing Managers’ Index (PMI)
  199. Latest five-year socio-economic development plan launched in Vietnam

    29 April 2016 Andrew Harker

    April saw the National Assembly in Vietnam agree a new five-year socio-economic development plan covering the years 2016-2020. As part of this...

    • Purchasing Managers’ Index (PMI)
  200. ExxonMobil loses AAA rating; Investors rush to EM

    29 April 2016

    "In this week's credit wrap, low oil prices finally bite into ExxonMobil's credit rating; Investors continue to rush into emerging markets and...

    • Credit Default Swaps (CDS)
  201. Best practice in a changing environment: Independent Index Administration

    28 April 2016 David Cook

    "ESMA's discussion paper (DP) outlining its preliminary policy orientation and proposals for level 2 measures of EU Benchmark Regulation has...

  202. Eurozone's rally not quite squeezing shorts

    28 April 2016 Relte Stephen Schutte

    "European equities have joined the global rally on the back of a recovery in energy and commodity prices, but short sellers are not yet fully...

    • Securities Finance
  203. US official data corroborate survey signals of stalling first quarter growth

    28 April 2016 Chris Williamson

    "US economic growth slowed sharply to a near stand-still in the first quarter, and early signs indicate that the malaise extended into the second...

    • Purchasing Managers’ Index (PMI)
  204. US Fed holds policy but edges door open for further rate hikes

    28 April 2016 Chris Williamson

    "The US Federal Reserve kept policy on hold at its April FOMC meeting, as widely expected. Since hiking rates for the first time in almost a...

    • Purchasing Managers’ Index (PMI)
  205. Brazil's central bank refrains from loosening policy amid strong inflation

    28 April 2016 Pollyanna De Lima

    "As widely expected by financial markets, Brazil's central bank kept its benchmark 'SELIC' rate unchanged at 14.25% following its April meeting...

    • Purchasing Managers’ Index (PMI)
  206. Bank of Japan holds off from further stimulus despite economic woes

    28 April 2016 Chris Williamson

    "Official data confirmed the poor start to the year suffered by Japan's manufacturers. Data from the Ministry of Economics, Trade and Industry...

    • Purchasing Managers’ Index (PMI)
  207. Japanese bonds rise despite BOJ disappointment

    28 April 2016

    "Japanese sovereign bonds managed to deliver positive returns today, while almost every other asset class suffered from the Bank of Japan's decision...

    • Credit Default Swaps (CDS)
  208. Euro investors pivot on weaker dollar

    27 April 2016 Relte Stephen Schutte

    "Inflows into European ETFs exposed to US equities surged in April and are looking set to post the largest monthly inflow seen in almost 18 months...

    • Securities Finance
  209. Worsening UK economic environment points to slower growth ahead

    27 April 2016 Chris Williamson

    A slowing in the pace of UK economic growth is signalled by a worsening of financial conditions and an increase in economic uncertainty. Indicators......

    • Purchasing Managers’ Index (PMI)
  210. UK economic growth slows in first quarter, with further easing likely ahead

    27 April 2016 Chris Williamson

    "UK economic growth slowed in the first quarter, according to official data, and key indicators point to a further deterioration in the second...

    • Purchasing Managers’ Index (PMI)
  211. Chicago muni bonds left isolated as crisis deepens

    27 April 2016

    "A decision from Illinois' Supreme Court to reject pension reforms has seen Chicago's municipal bond spreads widen, with little effect on neighbouring..."...

    • Credit Default Swaps (CDS)
  212. Investors rush back to emerging markets

    26 April 2016

    Developed market equity investors are clamouring for a piece of the emerging markets (EM) as the asset class surpasses that of developed markets....

    • Securities Finance
  213. US flash services PMI raises hopes of faster second quarter GDP growth

    26 April 2016 Chris Williamson

    "Flash PMI survey data from Markit suggest the US economy could see GDP rise at an increased rate in the second quarter, but growth is clearly...

    • Purchasing Managers’ Index (PMI)
  214. Riskiest end of US HY market powers bond returns

    26 April 2016

    "US high yield bonds have now outperformed investment grade bond returns in 2016, propelled by spread compression among the lowest rated credits....

    • Credit Default Swaps (CDS)
  215. Markit European loan volume survey

    26 April 2016

    The total trade volumes in the European loan market have been down for two successive periods coming into the first quarter of 2016. Total volumes...

    • Credit Default Swaps (CDS)
  216. Markit Non-Agency RMBS - Yield Summary - April 22, 2016

    25 April 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  217. Bearish sentiment descending on Deutschland

    25 April 2016 Relte Stephen Schutte

    "Participating in a broader European recovery since February, German blue chip stocks have faced a deluge of weaker economic data, indicating...

    • Securities Finance
  218. Exploring Argentina's successful bond return

    25 April 2016

    "After attracting record orders and seeing strong secondary market performance, Markit reveals the factors which contributed to Argentina's successful..."...

    • Credit Default Swaps (CDS)
  219. Most shorted ahead of earnings

    22 April 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Shorts hold onto Outerwall and Lumber......

    • Securities Finance
  220. Markit Securities Finance forum: an overview

    22 April 2016

    A recap of the key themes discussed at this week's 16th Markit Securities Finance forum which revealed the opportunities and challenges facing...

    • Securities Finance
  221. US manufacturing reports worst month for 6' years

    22 April 2016 Chris Williamson

    "US factories reported their worst month for just over six-and-a-half years in April, dashing hopes that first quarter weakness will prove temporary....

    • Purchasing Managers’ Index (PMI)
  222. Service sector helps France eke out marginal growth, but exports slump lower

    22 April 2016 Chris Williamson

    "The latest euro area flash PMI surveys show France continuing to act as a major drag on the region, with goods exports slumping to the greatest...

    • Purchasing Managers’ Index (PMI)
  223. Japan flash PMI signals steepening manufacturing downturn as exports slump

    22 April 2016 Chris Williamson

    "The downturn of Japan's manufacturing sector gathered speed in April. The Nikkei Flash Japan Manufacturing PMI fell from 49.1 in March to 48.0...

    • Purchasing Managers’ Index (PMI)
  224. Eurozone flash PMI dips lower at start of second quarter

    22 April 2016 Chris Williamson

    "The eurozone economy remains stuck in a slow-growth rut in April, with the PMI once again signalling GDP growth of just 0.3% at the start of...

    • Purchasing Managers’ Index (PMI)
  225. Market welcomes ECB plan; US bank credit improves

    22 April 2016

    Bond investors reacted positively as the ECB revealed the finer details of its corporate bond buying programme; while in the US earnings season...

    • Credit Default Swaps (CDS)
  226. Global fixed income focus - March 2016

    22 April 2016 Chris Fenske

    "The European Central Banks's (ECB) decision to cut interest rates and increase the size of its QE programme set the tone for market sentiment...

    • Credit Default Swaps (CDS)
  227. Markit Non-Agency RMBS - Yield Summary - April 15, 2016

    21 April 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  228. Week Ahead Economic Overview

    21 April 2016 Oliver Kolodseike

    "Not only does the week see a number of central banks (including the US Fed) announce their latest monetary policy decisions, but first quarter...

    • Purchasing Managers’ Index (PMI)
  229. Convertible bonds fall out of favour

    21 April 2016

    "Despite a broad rally in equities and corporate bonds which have seen investors rush to these asset classes, convertible bonds ETFs whose performance..."...

    • Credit Default Swaps (CDS)
  230. Equity's rebound squeezes the shorts

    20 April 2016 Relte Stephen Schutte

    "Markets are flirting with all-time highs but as short sellers rush for the door, concerns mount that a large short squeeze may underpin the...

    • Securities Finance
  231. UK unemployment rises and household mood darkens

    20 April 2016 Chris Williamson

    The UK labour market showed signs of cooling in February and survey data signalled that households are becoming increasingly concerned about...

    • Purchasing Managers’ Index (PMI)
  232. UK household worries mount amid job, price and interest rate concerns

    20 April 2016 Chris Williamson

    Households' worries about their future finances have risen to the highest since last December. Sentiment among families about their overall financial......

    • Purchasing Managers’ Index (PMI)
  233. Lithium rush fails to spark investor confidence

    19 April 2016

    "Lithium, a key component of electric cars, has sparked its own "gold rush" with firms exposed to the metal seeing their shares surge as the...

    • Securities Finance
  234. Global growth lifted by rising consumer and business spending

    19 April 2016 Philip Leake

    "Global economic growth showed tentative signs of emerging from the doldrums in March, with a broad-based improvement across consumer and corporate...

    • Purchasing Managers’ Index (PMI)
  235. Brazil leads as credit risk in Latam region recedes

    19 April 2016

    "As momentum has gathered around the impeachment of Brazilian President Dilma Rousseff, credit risk in largest Latam economy has been falling....

    • Credit Default Swaps (CDS)
  236. UK insurers shrug off taxes, Brexit and floods

    18 April 2016 Relte Stephen Schutte

    "UK insurers are facing metaphorical and literal storms after years of healthy dividend growth. With the June referendum clouding the current...

    • Securities Finance
  237. Distressed bond numbers fall but defaults accelerate

    18 April 2016

    "The number of distressed bonds in the US HY bond market has fallen considerably since February's peak, but the aftershocks are being felt through...

    • Credit Default Swaps (CDS)
  238. Most shorted ahead of earnings

    15 April 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers target Star Wars toymaker...

    • Securities Finance
  239. Week Ahead Economic Overview

    15 April 2016 Oliver Kolodseike

    "After the IMF has downgraded its growth forecast for the global economy, data watchers are eagerly awaiting flash PMI results for the first...

    • Purchasing Managers’ Index (PMI)
  240. Chinese GDP slowdown brings steepening job losses

    15 April 2016 Annabel Fiddes

    "China's economy expanded by 6.7% on an annual basis in the first quarter of 2016, down from 6.8% in the final quarter of 2015. This was the...

    • Purchasing Managers’ Index (PMI)
  241. Italian banks rebound while US peers idle

    15 April 2016

    "Italian banks saw their CDS spreads retreat, while US bank bonds spreads remain largely unmoved after a mixed bag of earnings. Unicredit CDS...

    • Credit Default Swaps (CDS)
  242. Spanish banks slowly remove the Band-Aid

    14 April 2016 Relte Stephen Schutte

    "After several years of offering investors the option of a scrip dividend to preserve cash, Spanish banks are returning to cash payments as earnings...

    • Securities Finance
  243. Oil bonds surge ahead of Doha meeting

    14 April 2016

    Hopes are riding high that this weekend's oil producer meeting in Doha could see major producers address the current supply glut which has lifted...

    • Credit Default Swaps (CDS)
  244. US investors u-turn on currency hedges

    13 April 2016 Relte Stephen Schutte

    "Once lured by currency hedged exposure to foreign equity markets, US ETF investors are withdrawing funds as the recovery in equities loses steam...

    • Exchange-Traded Funds (ETFs)
  245. Saudi Arabia and UAE prove resistant to headwinds in March

    13 April 2016 Philip Leake

    Latest PMI data from Emirates NBD and Markit pointed to ongoing growth of non-oil private sector output in Saudi Arabia and the United Arab Emirates.......

    • Purchasing Managers’ Index (PMI)
  246. Global economic growth weakest since late-2012

    13 April 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  247. United States Steel municipal bonds regain lost luster

    13 April 2016

    US Steel's municipal bonds have been resurgent as the company's credit spread has returned from the brink. US Steel 2042 muni listings have seen...

    • Credit Default Swaps (CDS)
  248. Investors short the hard drive

    12 April 2016 Relte Stephen Schutte

    "After years of hype around cloud computing, its rising adoption rates and profits are fuelling a wave of competition and consolidation impacting...

    • Securities Finance
  249. US bank CDS spreads can't shake off Q1 woes

    12 April 2016

    The credit risk divergence between tier one US banks and the rest of the investment grade bond universe has surged to new recent highs ahead...

    • Credit Default Swaps (CDS)
  250. Markit Non-Agency RMBS - Yield Summary - April 11, 2016

    11 April 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  251. Analysts and shorts expect more pain for energy

    11 April 2016 Relte Stephen Schutte

    "Despite lifting earnings estimates by more than any other sector heading into the first quarter results season, analyst and short seller sentiment...

    • Securities Finance
  252. China's offshore RMB market sees record returns

    11 April 2016

    "Fears of a potential Chinese hard landing have yet to be reflected in offshore listed RMB bonds as the asset class has continued to see its...

    • Credit Default Swaps (CDS)
  253. Most shorted ahead of earnings

    08 April 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Shorts cover positions in Alcoa...

    • Securities Finance
  254. Week Ahead Economic Overview

    08 April 2016 Oliver Kolodseike

    "The release of Chinese retail sales, industrial production and GDP figures is likely to move markets during a week that will also be interesting...

    • Purchasing Managers’ Index (PMI)
  255. ECB boosts covered bonds; Puerto Rico bonds fall

    08 April 2016

    "In this week's credit wrap; covered bond demand accelerates new Puerto Rico laws but bond restructuring talks in doubt, and French company Numericable..."...

    • Credit Default Swaps (CDS)
  256. Yield sprouting from dividend stumps

    07 April 2016

    "Dividend cuts have surged in the last fiscal year, but many firms slashing their payments have seen their shares fall by a greater amount than...

    • Dividends
  257. UK leads meagre Q2 dividend haul

    06 April 2016

    Global dividend growth is set to continue cooling in the second quarter as the commodities slump feeds through to firms' dividend policies. Russian......

    • Dividends
  258. Scandinavians lead European airline shorts

    06 April 2016 Relte Stephen Schutte

    "Shielded by declining oil prices, traditional European airlines join Scandinavian carriers being targeted by short sellers while short haul...

    • Securities Finance
  259. Weak global PMI for March rounds off worst quarter since 2012

    06 April 2016 Chris Williamson

    "Global economic growth was running at its weakest for over three years in the first quarter, according to PMI data. The JPMorgan Global PMI...

    • Purchasing Managers’ Index (PMI)
  260. Global manufacturers see worst quarter for almost three years

    06 April 2016 Chris Williamson

    "Global factory growth remained near-stagnant in March, according to PMI survey data. The JPMorgan Global PMI, compiled by Markit from its worldwide..."...

    • Purchasing Managers’ Index (PMI)
  261. German economic growth remains sluggish amid near stagnation of manufacturing

    06 April 2016 Oliver Kolodseike

    "Germany's composite Output Index (produced by Markit from its manufacturing and service sector surveys) fell to an eight-month low of 54.0 in...

    • Purchasing Managers’ Index (PMI)
  262. Investors embrace long dated corporate bonds

    06 April 2016

    "Investors have been loading up on relatively higher yielding long term corporate bonds, in spite of the asset class seeing its average credit...

    • Credit Default Swaps (CDS)
  263. Blockchain: disruption or distraction?

    05 April 2016

    The financial industry began 2016 with a host of blockchain promises. While many of these promises show encouraging momentum, a clear implementation......

  264. Markit Non-Agency RMBS - Yield Summary - April 01, 2016

    05 April 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  265. UK PMI points to first quarter slowdown and gloomy outlook despite upturn in March

    05 April 2016 Chris Williamson

    "Survey data indicate a slowing in UK economic growth in the first quarter, with the suggestion that the pace is more likely to ease further...

    • Purchasing Managers’ Index (PMI)
  266. Leveraged loans enjoy best quarter since 2012

    04 April 2016

    "Leveraged loans returned from the abyss to post their best quarter in three years, and investors have been quick to gain exposure. Markit iBoxx...

    • Credit Default Swaps (CDS)
  267. Riding the wave and not getting wiped out[1] by liquidity risk (and the SEC)

    04 April 2016 Salman Banaei

    "It is somewhere between the SEC's proposal to require open-end funds and ETFs to establish liquidity risk management programs and where industry...

  268. Markit Non-Agency RMBS - Yield Summary - March 25, 2016

    04 April 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  269. Markit Agency RMBS - Specified Pool Summary - March 2016

    04 April 2016

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  270. Investors not riding oil's rally

    04 April 2016

    Investors have been actively selling out of their oil ETF positions since the commodity started to rally from February lows. Investors pulled...

    • Securities Finance
  271. Most shorted ahead of earnings

    01 April 2016

    A review of how short sellers are positioning themselves in companies due to announce results in the coming week. Carmax leads the five retailers...

    • Securities Finance
  272. Week Ahead Economic Overview

    01 April 2016 Oliver Kolodseike

    Global PMI results for March are released during the week and will provide a complete picture of economic conditions during the first quarter...

    • Purchasing Managers’ Index (PMI)
  273. Robust US labour market unlikely to sway Fed into imminent rate hike

    01 April 2016 Chris Williamson

    "Another good month of hiring in the US will encourage further chatter in some corners of the Fed moving closer to hiking interest rates again...

    • Purchasing Managers’ Index (PMI)
  274. Ireland goes long; SunEdison debt nearly worthless

    01 April 2016

    "In this week's credit wrap Ireland issues a 100-yr bond, Janet Yellen spurs on risk, and SunEdison's bonds converge to distressed levels. Markit...

    • Credit Default Swaps (CDS)
  275. Tesla short interest at record high

    31 March 2016

    "Tesla is set to unveil its highly anticipated Model 3, but bearish sentiment around the company's shares remains near record high. More than...

    • Securities Finance
  276. CDS bond-basis tightens as sentiment improves

    31 March 2016

    Positive market sentiment fuelled by global central bank action has tightened the CDS-bond basis over the past month. European banks have seen...

    • Credit Default Swaps (CDS)
  277. Investors rekindle love for Latin American stocks

    30 March 2016

    "Latin American stocks are the flavour of the month in the ETF market, with investors rushing in as the market rebounds from the lows hit earlier...

    • Securities Finance
  278. TIPS ETFs see record inflows as investors pile in

    30 March 2016

    Exchange traded funds (ETFs) tracking Treasury inflation protected securities (TIPS) have seen record quarterly inflows as investors anticipate...

    • Credit Default Swaps (CDS)
  279. UK short sellers retreat despite Brexit vote

    29 March 2016

    "UK stocks are facing uncertainty as the country ponders its relationship with the EU, but the number of bets against UK stocks has actually...

    • Securities Finance
  280. Most shorted ahead of earnings

    29 March 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. The largest producer of eggs in...

    • Securities Finance
  281. Dollar emerging market bonds steam ahead

    29 March 2016

    "US dollar denominated emerging market bonds see returns outperform developed market peers, as investors regain confidence in the region. Dollar...

    • Credit Default Swaps (CDS)
  282. Shake down of IPOs: Class of 2015

    24 March 2016 Relte Stephen Schutte

    New company issuances create frenzied buying and selling scenarios as firms enter the public sphere. In certain cases Limited stock supply is...

    • Securities Finance
  283. Week Ahead Economic Overview

    24 March 2016 Oliver Kolodseike

    "The release of worldwide PMI results will give data watchers the first insights into global economic trends at the end of the first quarter...

    • Purchasing Managers’ Index (PMI)
  284. US economic malaise extends into March as new work inflows hit post-recession low

    24 March 2016 Chris Williamson

    "The US economy is going through its worst growth spell for three and a half years, according to flash PMI survey data from Markit. The headline...

    • Purchasing Managers’ Index (PMI)
  285. UK retail sales show resilient start to 2016, but wider worries linger

    24 March 2016 Chris Williamson

    "Resilient retail sales provide welcome news that consumers remain in an upbeat mood so far this year, but bargain-hunting shoppers seem unlikely...

    • Purchasing Managers’ Index (PMI)
  286. ETF safe havens gather billions as fees fall

    23 March 2016 Relte Stephen Schutte

    "Global ETF AUM is holding above $3trn with the top three fund inflows of 2016 showing investors' flight to safety, while outflows from equity...

    • Exchange-Traded Funds (ETFs)
  287. Fallen angels and liquidity guide credit index rolls

    23 March 2016

    Markit's US and European credit indices rolled this week with commodity-related fallen angels and heightened liquidity in credit markets driving...

    • Credit Default Swaps (CDS)
  288. Markit Non-Agency RMBS - Yield Summary - March 18, 2016

    22 March 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  289. Bipartisanship in biotech short interest

    22 March 2016 Relte Stephen Schutte

    "US elections loom at the end of the year with the outcome impacting stocks in different ways, but shorts sellers have already voted on the biotech...

    • Securities Finance
  290. Weak flash US manufacturing PMI rounds off worst quarter since mid-2012

    22 March 2016 Chris Williamson

    "US factories continue to endure their worst spell for three-and-a-half years. At 51.4, the seasonally adjusted Markit Flash PMI was up only...

    • Purchasing Managers’ Index (PMI)
  291. Japan flash PMI signals worst manufacturing conditions for over three years

    22 March 2016 Chris Williamson

    "Japan's manufacturing sector slid into decline in March, according to the Nikkei Flash Japan Manufacturing PMI. Business conditions deteriorated...

    • Purchasing Managers’ Index (PMI)
  292. Eurozone flash PMI lifts higher for first time this year in March

    22 March 2016 Chris Williamson

    The eurozone saw renewed signs of life at the start of spring. The PMI showed a welcome end to the worrying slowdown trend seen in the first...

    • Purchasing Managers’ Index (PMI)
  293. ECB attempts to suppress European credit risk

    22 March 2016

    The ECB's aggressive stimulus measures announced earlier this month have already seen risk in both corporate and financial bonds subside. Markit...

    • Credit Default Swaps (CDS)
  294. Most shorted ahead of earnings

    21 March 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Surge in demand to borrow Sunedison...

    • Securities Finance
  295. Investors continue to flock towards munis amid volatility

    21 March 2016

    "Investors have continued to favour tax exempt US municipal bonds over treasuries this year, despite the former underperforming amid volatile...

    • Credit Default Swaps (CDS)
  296. Energy rally squeezes short sellers

    18 March 2016 Relte Stephen Schutte

    "Attracting growing negative sentiment since oil prices began tumbling at the end of 2014, a rally in energy stocks in 2016 has encouraged significant..."...

    • Securities Finance
  297. Bank of Russia maintains current interest rate but looks set to endure a testing few months

    18 March 2016 Samuel Agass

    "The Bank of Russia's decision to keep its benchmark one-week repo rate at 11.0% today was unsurprising to global analysts. However, with a number...

    • Purchasing Managers’ Index (PMI)
  298. Valeant bonds muted; euro primary market ignited

    18 March 2016

    This week's credit wrap: Valeant's bonds remain calm despite share price tumbling; Fed signals caution and AB Inbev gets in on primary issuance...

    • Credit Default Swaps (CDS)
  299. Week Ahead Economic Overview

    17 March 2016 Oliver Kolodseike

    "With policymakers at the world's central banks becoming increasingly concerned about the global economic outlook, flash PMI data for March will...

    • Purchasing Managers’ Index (PMI)
  300. Bank of England holds rates. Will the next move be a cut?

    17 March 2016 Chris Williamson

    No surprise as the Bank of England's Monetary Policy Committee left interest rates unchanged at its latest gathering. All nine committee members...

    • Purchasing Managers’ Index (PMI)

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