At FIIG
Join Mark Bayley and Jessica Rusit as they deliver an economic and bond trading update for the week ended 24 February 2017
At FIIG
Simon Michell discusses the AOFM's historic 30 year government bond issue and the Fed positioning for a rate hike
At FIIG
Mark Bayley discusses the Fed and commentary leading up to the FOMC's two day meeting
At FIIG
Mark Bayley discusses Brexit fallout as market pricing in 80% chance of a BoE rate cut
At FIIG
Simon Michell discusses global yields bouncing off record lows to follow equities higher
At FIIG
Simon Michell discusses the US 10 year treasury reaching an all time record low, raising ongoing concern for investors that rates could move lower
At FIIG
Mark Bayley discusses US non farm payroll numbers on the upside and Italian banks facing bad loan provisions
At FIIG
Mark Bayley discusses global credit rating agency Standard & Poor's (S&P) placing Australia's AAA sovereign on a negative outlook
At FIIG
Mark Bayley recaps Friday's volatile trading session following the Brexit result, with weakness in European credit indices, corporate issues on hold and banks hit the hardest
At FIIG
Mark Bayley discusses volatility in risk assets and currencies upon Britain's decision to exit the EU