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Special Report on

Global Bond Investing

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provides accessible coverage of international capital markets using numerous examples to illustrate the applications of concepts and theories. The new title reflects the current understanding that the distinction between domestic and international is no longer relevant and that asset management is global. This book is ideal for CFA ® (Chartered Financial Analyst) candidates, advanced finance undergraduates, and MBA students, and it has been selected by the CFA Institute as part of the curriculum to deliver the Candidate Body of Knowledge for the CFA. The text is also widely used by professionals working in the ...
stake in the company (i.e., they are owners), whereas bondholders have a creditor stake in the company (i.e., they are lenders). Another difference is that bonds usually have a defined term, or maturity, after which the bond is redeemed, whereas stocks may be outstanding indefinitely. An exception is a consol bond , which is a perpetuity (i.e., bond with no maturity).
Stocks rally on banking sector hopes, oil gains | Investing Contrarian
New York: Global stocks rallied on Wednesday, spurred by a brighter outlook for banks on both sides of the Atlantic, while oil prices snapped a six-day slide on expectations US crude inventories will decline. A bullish earnings forecast by State Street Corp, the world’s second-largest custodian bank, lifted US and European banking shares. Higher crude prices boosted stocks in the energy sector. Shares of State Street jumped almost 10% after it forecast second-quarter operating earnings that were sharply above analysts’ expectations. Banks rebounded from recent heavy losses, driving the KBW bank index up 2.5%. “Having a bank give ... market research, surveys and trends
Gentiva Markets Bonds as Sales Jump to Most Since June 21: New ...
Gentiva Health Services Inc., theU.S. home-nursing company that plans to purchase OdysseyHealthCare Inc., is marketing debt as corporate bond salesjumped to the most in more than a week. Gentiva plans to sell about $305 million of seniorunsecured notes to help finance its $1 billion acquisition ofhospice-services provider Odyssey HealthCare, the Atlanta-basedcompany said in a May 24 regulatory filing, without ... market research, surveys and trends


click here for the full press release - FXall
FXall, the leading portal for online foreign exchange trading, today announced that ANZ, Bank of New Zealand, Barclays Capital, Brown Brothers Harriman, Danske Bank, ING Financial Markets, Jyske Bank, Merrill Lynch, National Australia Bank, Nordea and SEB Merchant Banking have all integrated with FXall as liquidity providers. FXall's complete integration to the automated price making capability of its providers enables clients to receive a price from FXall within three seconds 90 percent of the time. It was also announced that FXall now has more than 200 corporations and asset managers signed for trading. The majority of ... industry trends, business articles and survey research
Microsoft PowerPoint - Lez.#6 20090318 (Cap.7) - Global Bond ...
close to $100 billion close to $100 billion. ..... Bank FRN, LIBOR Plus 0.25 Percent. Copyright © 2009 Pearson Prentice Hall. All rights reserved. 7 - 36 ... industry trends, business articles and survey research
Alternative Investing
Dow Jones Reprints: This copy is for your personal, non-commercial use only. To order presentation-ready copies for distribution to your colleagues, clients or customers, use the Order Reprints tool at the bottom of any article or visit Q: How can an investor buy government and corporate bonds from Norway, Australia, New Zealand and Brazil? A: Investors have been dumping the bonds and stocks of nations with heavy debts and limp growth prospects, such as Greece, Spain, Italy and Portugal. Rather than stick with safe but low-yielding investments such as U.S. money-market accounts, some experts recommend bonds ... market trends, news research and surveys resources
Investing In Bonds Of Low-Debt Nations
Where are you going to hide from the next debt bomb? Assuming there's a safe haven anywhere, it's likely to be in countries not hocked up to precarious levels. That's the view of David Rolley, global investment strategist for Loomis Sayles, a $145 billion money manager, and comanager of its Global Bond Fund. Rolley is a 58-year-old economist who worked at Drexel Burnham Lambert until it blew up and knows how badly events can unfold for bond investors. These days he's shunning "core" countries, by which he means those with big economies and big debts, like the U.S., Japan and the U.K. The spending ... market trends, news research and surveys resources


Global Bond Investing
Global bond investing refers to an investment strategy that incorporates non- U.S. bonds. Though they may appear exotic to some, bonds ... technology research, surveys study and trend statistics
BofA Merrill Lynch Global Bond Index Rules
BofA Merrill Lynch Global Bond Index Rules. The BofA Merrill Lynch BB US Cash Pay ... investment grade corporate debt, currently in a coupon paying period, ... technology research, surveys study and trend statistics
Investment Plan - University of North Texas Foundation, Inc.
The UNT Foundation Investment Portfolio is structured to provide a consistent level of inflation-adjusted returns within acceptable long-term risk levels. It consists of an allocation of assets among well-diversified equity, fixed income and alternative investments with a ratio of fifty two percent (52%) Growth Assets , thirty five percent (35%) Risk Reduction Assets , and thirteen percent (13%) Inflation Protection Assets . Managers in each of these classes are benchmarked against the appropriate style median for each. The portfolio�s long-term compound expected return is eight percent (8%). To achieve these goals, the ...
  1. profile image ZeusBizNews Business Week: Loans Winning Bond Underwriting Spots as Global Sales Drop 39%: The world’s big... #Business #Investing
  2. profile image ProfAdviserHK HSBC launches new global high income bond fund in HK investing in 100-150 bonds with an average credit rating of BBB-/BB+
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Global Investing: UK Bond market, business climate, bond market
Do you invest in the UK?  Do you know anything about the business climate of the UK?  Do you know anything about the bond market there?  Are you seeking my advice in general?  Or are you seeking specific advice?  Do you think it would be wise to make decisions about investing from the advice of a total stranger who may know less about this matter than you do? If you don't know very much about the market, do you think it would be better to go to the library and read books about it?  or rely on the potentially flawed advice of someone you do not know and have no reason to trust????? Good luck. ...
Do you envisage a global bond market failure in near future ...
"In the wake of Greece's fiscal nightmare, ratings agencies moved this week to downgrade Portugal and Spain. That, in turn, has prompted analysts to re-examine the durability of the U.K.'s top-notch AAA rating." .. Wall Street Journal, May 2010 If UK's bond ratings go down, LIBOR rates will likely be affected. This may in turn result in change in the bond yields worldwide, because they are linked to LIBOR. Is the global bond market going to collapse in the near future? Great going..Thank you all for your impressive answers. I am keeping the question open for some more days so that we can get more views. posted 2 ...