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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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  • PMI Commentary and Analysis
  • Asia Pacific Financial Services Insights
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Viewing 4501 - 4800 of 7185 results

  1. 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
  2. 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
  3. 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)
  4. 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...

  5. 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
  6. 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)
  7. 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)
  8. 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)
  9. 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)
  10. 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
  11. 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)
  12. 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)
  13. 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)
  14. 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
  15. 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
  16. 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)
  17. 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)
  18. 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)
  19. 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
  20. 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
  21. 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
  22. 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
  23. 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)
  24. 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)
  25. 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)
  26. 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)
  27. 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...

  28. 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
  29. 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)
  30. 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)
  31. 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)
  32. 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)
  33. 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)
  34. 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
  35. 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)
  36. 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)
  37. 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)
  38. 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
  39. 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)
  40. 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)
  41. 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)
  42. 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
  43. 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
  44. 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)
  45. 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
  46. 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
  47. 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)
  48. 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)
  49. 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)
  50. 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)
  51. 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)
  52. 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)
  53. 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
  54. 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)
  55. 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)
  56. 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
  57. 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)
  58. 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)
  59. 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
  60. 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)
  61. 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)
  62. 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
  63. 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)
  64. 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
  65. 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)
  66. 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)
  67. 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)
  68. 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
  69. 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)
  70. 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)
  71. 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)
  72. 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)
  73. 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)
  74. 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
  75. 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)
  76. 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
  77. 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
  78. 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)
  79. 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
  80. 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)
  81. 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)
  82. 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
  83. 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
  84. 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
  85. 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)
  86. 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)
  87. 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)
  88. 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)
  89. 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......

  90. 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
  91. 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)
  92. 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)
  93. 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...

  94. 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
  95. 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
  96. 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
  97. 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
  98. 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)
  99. 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)
  100. 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)
  101. 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
  102. 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)
  103. 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
  104. 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)
  105. 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
  106. 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
  107. 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)
  108. 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
  109. 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)
  110. 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)
  111. 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)
  112. 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)
  113. 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)
  114. 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
  115. 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
  116. 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)
  117. 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)
  118. 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)
  119. 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)
  120. 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
  121. 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)
  122. 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
  123. 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)
  124. 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)
  125. 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)
  126. 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)
  127. Valuable signals in crowded short trades

    16 March 2016 Relte Stephen Schutte

    "Although unusual terminology, factor crowdedness, provides quantifiable clarity into which factors short sellers are targeting. Assigning sentiment...

    • Securities Finance
  128. US industrial sector on course for flat first quarter

    16 March 2016 Chris Williamson

    "US factory output rose slightly in February, according to official data from the Federal Reserve. But the overall rate of expansion remains...

    • Purchasing Managers’ Index (PMI)
  129. UK pay growth remains muted as household job insecurity rises

    16 March 2016 Chris Williamson

    "The start of 2016 saw UK unemployment fall and employment hit an all-time high, according to official data, while pay growth also showed signs...

    • Purchasing Managers’ Index (PMI)
  130. Global fixed income focus - February 2016

    16 March 2016 Chris Fenske

    February was a very volatile month in the credit markets as oil prices and concerns out of China continued to exert pressure. The month kicked...

    • Credit Default Swaps (CDS)
  131. Chinese property too hot for short sellers

    15 March 2016 Relte Stephen Schutte

    An unexpected thirst for real estate by Chinese insurers has seen short sellers continue their retreat from the sector as falling equities and...

    • Securities Finance
  132. Nigeria PMI signals economic downturn in February

    15 March 2016 Philip Leake

    "Nigeria's private sector economy slipped into reverse gear during February, according to the latest PMI data compiled for Stanbic IBTC Bank...

    • Purchasing Managers’ Index (PMI)
  133. Investors embrace HY ETFs as sentiment turns

    15 March 2016

    High yield bonds have enjoyed a sustained rally led by Oil & Gas and Basic Materials, while the improved macroeconomic backdrop has seen investors...

    • Credit Default Swaps (CDS)
  134. Falling US retail sales add to signs of weak start to 2016

    15 March 2016 Chris Williamson

    A weaker than previously thought retail sales trend so far this year puts further pressure on US policymakers to hold off hiking interest rates....

    • Purchasing Managers’ Index (PMI)
  135. Markit Non-Agency RMBS - Yield Summary - March 11, 2016

    14 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
  136. Short sellers return to UK property

    14 March 2016

    "UK homebuilders have seen their first bear raid in nearly five years as luxury London property prices stall. Berkeley has over 5% of its shares...

    • Securities Finance
  137. Most shorted ahead of earnings

    14 March 2016

    A review of how short sellers are positioning themselves in companies due to announce results in the coming week. Iconix Brand Group is top global...

    • Securities Finance
  138. Eurozone producers see unexpectedly strong start to the year

    14 March 2016 Chris Williamson

    "Eurozone industrial production jumped 2.1% in January, its biggest monthly rise since September 2009. Output was 2.8% higher than a year ago...

    • Purchasing Managers’ Index (PMI)
  139. Japanese government bonds' best month since 2008

    14 March 2016

    A move towards negative interest rates has boosted Japanese government bond returns and investors have been keen to get in on the action. February...

    • Credit Default Swaps (CDS)
  140. UK construction sees recession revised away but suffers poor start to the year

    11 March 2016 Chris Williamson

    "The UK construction sector suffered a disappointing start to the year, adding to a downbeat flow of data on the health of the economy so far...

    • Purchasing Managers’ Index (PMI)
  141. Draghi bazooka sends European credit risk tumbling

    11 March 2016

    New measures taken by the ECB has seen risk in the region fall; while high yield bonds continue to steam ahead. The Markit iTraxx Europe Main...

    • Credit Default Swaps (CDS)
  142. Do you swear to tell the truth, the whole truth and...?

    10 March 2016 David Weisberger

    The explosion of media coverage of equity market structure has been driven by a series of high profile regulatory settlements, a best-selling...

  143. European rally hits shorts hard

    10 March 2016 Relte Stephen Schutte

    The recent rally in European equities has cut short sellers' winning bets down to size but on average short sellers continue to hold onto positions...

    • Securities Finance
  144. Week Ahead Economic Overview

    10 March 2016 Oliver Kolodseike

    "Monetary policy will be the focus during the week, with a number of central banks (including the Bank of England and the Federal Reserve) announcing...

    • Purchasing Managers’ Index (PMI)
  145. Signs of political stalemate impacting on Spanish economy

    10 March 2016 Andrew Harker

    The Spanish economic recovery is showing signs of being held back by political uncertainty. The end of last week saw the Spanish Socialist Party...

    • Purchasing Managers’ Index (PMI)
  146. ECB responds to renewed economic weakness with aggressive stimulus

    10 March 2016 Chris Williamson

    The European Central Bank announced a more aggressive series of stimulus measures than expected at its March governing council meeting. The central...

    • Purchasing Managers’ Index (PMI)
  147. PMI data reveals global financials in a bind

    09 March 2016 Relte Stephen Schutte

    Distressing Chinese trade data agrees with Markit PMI data which contradicts the recent market rally. Financials register the first decline in...

    • Securities Finance
  148. Faltering US economy leads global slowdown

    09 March 2016 Chris Williamson

    "Global economic growth slowed to near-stagnation in February, according to PMI data. The JPMorgan Global PMI, compiled by Markit from its worldwide..."...

    • Purchasing Managers’ Index (PMI)
  149. Investors reassess eurozone bonds ahead of ECB news

    09 March 2016

    Investors have been selling off eurozone government bond ETFs and loading up on corporate debt ahead of the ECB meeting tomorrow. Investors have...

    • Credit Default Swaps (CDS)
  150. ETF industry finds growth in fixed income

    08 March 2016 Relte Stephen Schutte

    ETF issuers have benefited from timely fixed income listings in 2016 as investors continue to pour billions into the asset class and pull funds...

    • Exchange-Traded Funds (ETFs)
  151. Investors loading up on duration risk

    08 March 2016

    "Investors have clamoured for government bond exposure since the start of the year, but the asset class risks losing some of its safe haven status...

    • Credit Default Swaps (CDS)
  152. Markit Non-Agency RMBS - Yield Summary - March 4, 2016

    07 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
  153. US Sector PMI: Three sectors post lower output in February

    07 March 2016 Philip Leake

    US Sector PMI data from Markit provided further evidence of weakening US economic performance in February. Markit's manufacturing and services...

    • Purchasing Managers’ Index (PMI)
  154. Russia looks to the primary market as fears ease

    07 March 2016

    "As fears of recession ease, Russia looks set to test global investor appetite with a benchmark US dollar bond issue. Russia's 5-yr sovereign...

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

    04 March 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Investors seen possibly hedging...

    • Securities Finance
  156. European short interest surges, lifted by grocers

    04 March 2016 Relte Stephen Schutte

    Short interest has increased across some of the largest stocks in Europe in 2016 as a weaker economic outlook persists and fears of deflation...

    • Securities Finance
  157. Week Ahead Economic Overview

    04 March 2016 Samuel Agass

    "All eyes will be directed towards Frankfurt next Thursday as markets await the latest ECB monetary policy decision. Beforehand, revised eurozone...

    • Purchasing Managers’ Index (PMI)
  158. US Fed to weigh strong labour market against signs of economic slowdown

    04 March 2016 Chris Williamson

    "An upbeat US jobs report raises the possibility that the Fed will hike interest rates again at its March policy meeting. However, current signs...

    • Purchasing Managers’ Index (PMI)
  159. Credit markets steer into calmer waters

    04 March 2016

    "After a volatile start to 2016, falling US Corporate bond spreads and receding credit risk among European financials has calmed investor fears...

    • Credit Default Swaps (CDS)
  160. UK PMI suffers biggest fall for 4' years as weakness spreads to services

    03 March 2016 Chris Williamson

    "UK economic growth slowed to its weakest for almost three years in February, according to the latest Markit/CIPS 'all-sector' PMI data. At 52.9...

    • Purchasing Managers’ Index (PMI)
  161. Global PMI sinks to lowest since October 2012

    03 March 2016 Chris Williamson

    "Global economic growth slowed to near-stagnation in February, according to PMI survey data. The JPMorgan Global PMI, compiled by Markit from...

    • Purchasing Managers’ Index (PMI)
  162. Brexit fears hit sterling corporate bonds

    03 March 2016

    Pound denominated corporate bonds have seen their benchmark spreads jump by a much wider margin than their Euro denominated peers year to date...

    • Credit Default Swaps (CDS)
  163. Using realtime data to meet rising expectations in the loan market

    02 March 2016 Mark Schultis

    With margins down in the syndicated loan market, asset managers are seeking to operate as efficiently as possible. However, operational friction...

  164. Is there a need for a standardised approach to assessing liquidity?

    02 March 2016 Kiet Tran

    Doctors are armed with standard medical tests and tools for diagnosing patients. Fund managers looking to measure liquidity, on the other hand...

  165. Markit Non-Agency RMBS - Yield Summary - February 26, 2016

    02 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
  166. Markit Agency RMBS - Specified Pool Summary - February 2016

    02 March 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
  167. Volatility sparks gold rush

    02 March 2016

    Gold ETFs have seen the largest ever inflows in the last month as investors bid up the asset class in search of a haven from recent volatility....

    • Exchange-Traded Funds (ETFs)
  168. Value investing resurges as momentum stalls

    02 March 2016 Relte Stephen Schutte

    Value has been a tough trade since 2007. Bouts of QE have lifted equities and their multiples higher with momentum strategies performing well...

    • Securities Finance
  169. Global factory activity stagnates and payrolls fall

    02 March 2016 Chris Williamson

    Global manufacturing performance failed to improve in February for the first time since November 2012. The JPMorgan Global Manufacturing PMI...

    • Purchasing Managers’ Index (PMI)
  170. Asian credit risk recedes but single names exposed

    02 March 2016

    Credit risk in the region has fallen rapidly since mid-February's highs, but some single names continue to exhibit heightened levels...

    • Credit Default Swaps (CDS)
  171. China manufacturing PMI shows steepest job losses for seven years

    01 March 2016 Chris Williamson

    "The Caixin China General Manufacturing PMI" survey, compiled by Markit, showed business conditions deteriorating at the fastest rate for five...

    • Purchasing Managers’ Index (PMI)
  172. UK's dividend champions to add '5bn by 2018

    29 February 2016 Relte Stephen Schutte

    "Despite a rough start to the year for yield focused investors, Markit has identified a group of 50 UK companies poised to defy the gloom and...

    • Securities Finance
  173. European insurance bonds sink to bottom of the pile

    29 February 2016

    "European bond yields have fallen to new recent lows as the market takes an increasingly dim view of growth prospects, which has in turn seen...

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

    26 February 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Highly shorted Lumber Liquidators...

    • Securities Finance
  175. Week Ahead Economic Overview

    26 February 2016 Samuel Agass

    "Markets will be on tenterhooks during a week which concludes with the publication of US non-farm payrolls, which will give all-important clues...

    • Purchasing Managers’ Index (PMI)
  176. US GDP revised higher but first quarter economic growth risks escalate

    26 February 2016 Chris Williamson

    News that the US economy showed signs of stalling in February has been swiftly followed by a confirmation of weak economic growth late last year....

    • Purchasing Managers’ Index (PMI)
  177. Brazilian bond returns rally; Irish election jitters

    26 February 2016

    "Despite another downgrade to junk status, Brazilian sovereign bonds have been a stand out performer so far this year. Meanwhile Irish sovereign...

    • Credit Default Swaps (CDS)
  178. Beware of European yield traps

    25 February 2016 Relte Stephen Schutte

    Dividends at commodity firms have proved more resilient than their embattled shares. But this trend is starting to unravel as businesses curtail...

    • Dividends
  179. Bears miss out on social media payday

    25 February 2016

    Social media shares have borne the brunt of the recent market selloff but few short sellers are lining up to short the market despite its recent......

    • Securities Finance
  180. Solid UK GDP expansion masks worrying signs of unbalanced growth

    25 February 2016 Chris Williamson

    "UK economic growth in the final quarter of last year was confirmed at 0.5%, according to the ONS's second estimate of gross domestic product....

    • Purchasing Managers’ Index (PMI)
  181. Banks dominate shifts in CDS bond-basis

    25 February 2016

    "Negative sentiment around global banks has shifted the CDS-bond basis into more positive territory, while weak commodity prices continue to...

    • Credit Default Swaps (CDS)
  182. Gold offers silver lining to South African investors

    24 February 2016 Relte Stephen Schutte

    "South African investors have been flocking to gold, both physically and through associated miners, as the commodity's resurgence has offered...

    • Securities Finance
  183. US flash PMI signals heightened economic downturn risk

    24 February 2016 Chris Williamson

    Markit's PMI survey data show a significant risk of the US economy falling into contraction in the first quarter. The flash PMI for February...

    • Purchasing Managers’ Index (PMI)
  184. European investors increasingly turn to ETF shorting as credit risk resurfaces

    24 February 2016

    Credit risk has more than doubled in the last 12 months reaching levels not seen in over two years. This has led to investors increasingly using...

    • Credit Default Swaps (CDS)
  185. Markit Non-Agency RMBS - Yield Summary - February 19, 2016

    23 February 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
  186. Tide turns for US high yield bonds

    23 February 2016

    "After underperforming for much of 2015, US HY bonds have outperformed IG counterparts this year, and investors are starting to take notice....

    • Credit Default Swaps (CDS)
  187. Benchmark Compliance: A Proactive Approach

    22 February 2016 Mark Schaedel

    "Twenty years ago the term 'benchmark' was still a verb – a term which described the activity of relative performance measurement. Recent regulatory...

  188. US short sellers hold steady despite rough week

    22 February 2016

    "Last week saw the most shorted shares surge and lead the market upturn, but short sellers are staying the course as short positions hover near...

    • Securities Finance
  189. US flash manufacturing PMI drops to joint-lowest since 2009

    22 February 2016 Chris Williamson

    "US factories are reporting the worst business conditions for over three years, and one of the worst months since the global financial crisis....

    • Purchasing Managers’ Index (PMI)
  190. Japan flash PMI at eight-month low, signals stalling manufacturing sector

    22 February 2016 Chris Williamson

    "Japanese manufacturers reported a near-stalling of business activity in February, according to the Nikkei Flash Japan Manufacturing PMI, with...

    • Purchasing Managers’ Index (PMI)
  191. Eurozone flash PMI weakness raises economic growth and deflation worries

    22 February 2016 Chris Williamson

    Disappointing PMI survey data for February greatly increase the odds of more aggressive stimulus from the ECB in March. Not only did the 'flash'...

    • Purchasing Managers’ Index (PMI)
  192. Global fixed income focus - January 2016

    22 February 2016 Chris Fenske

    The sharp drop in China's stock markets at the start of 2016 triggered the largest January decline in global equity markets in history. The weakness...

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

    19 February 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Perennial short targets Zoe's Kitchen...

    • Securities Finance
  194. Week Ahead Economic Overview

    19 February 2016 Samuel Agass

    Markit's Flash PMI data will provide the first available information on the health of some of the world's largest economies in February. Data...

    • Purchasing Managers’ Index (PMI)
  195. Brexit concerns weigh in; Miners' credit turns corner

    19 February 2016

    "With a potential Brexit looming the UK's credit risk has been soaring, while restructuring and a more positive outlook for oil prices this week...

    • Credit Default Swaps (CDS)
  196. Confidence in US housing being tested

    18 February 2016 Relte Stephen Schutte

    "Despite the continued record low mortgage rates and a resurgent economy, jitters in the US property market have resurfaced which has bolstered...

    • Securities Finance
  197. US manufacturing output rises for first time in three months

    18 February 2016 Oliver Kolodseike

    "A rebound in official industrial production data in January brings welcome good news on the US economy. Industrial output rose 0.9% in January...

    • Purchasing Managers’ Index (PMI)
  198. Cocos remain liquid despite recent volatility

    18 February 2016

    "Coco bonds were at the heart of last week's market volatility, but recent price swings can't be attributed to liquidity constrains as liquidity...

    • Credit Default Swaps (CDS)
  199. Markit Non-Agency RMBS - Yield Summary - February 12, 2016

    17 February 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
  200. Shorts target shipping amid rate collapse

    17 February 2016 Relte Stephen Schutte

    "The shipping industry dynamics have gone from bad to worse as freight rates, oil and dry, continue to plummet; attracting short sellers to ship...

    • Securities Finance
  201. Chinese financials lead country's dividends

    17 February 2016

    "Chinese financials are forecasted to boost their dividend payments to record levels, defying growing fears that the country may be about to...

    • Securities Finance
  202. UK pay growth remains subdued despite record vacancies and employment rate

    17 February 2016 Chris Williamson

    "The UK employment rate and number of job vacancies have risen to record highs, but the tightening labour market once again failed to drive up...

    • Purchasing Managers’ Index (PMI)
  203. UK households grow dovish on interest rate outlook

    17 February 2016 Chris Williamson

    "Households are feeling less downbeat about their finances, but this appears to be largely a reflection of expectations of interest rates staying...

    • Purchasing Managers’ Index (PMI)
  204. Investors bet on long bonds in search for yield

    17 February 2016

    "The long maturity Treasury bond has proved fruitful as investors fret about volatile markets, stagnant growth and sliding inflation. The Markit...

    • Credit Default Swaps (CDS)
  205. ASEAN government bonds outperform amid fears

    16 February 2016

    "Asian credit hasn't been immune from the heightened market volatility experienced so far this year, but local currency government bonds in the...

    • Credit Default Swaps (CDS)
  206. Will 2016 be the year of the bear for the HSI?

    15 February 2016 Relte Stephen Schutte

    A rough start to the year for the Hang Seng has been seized upon by short sellers. Demand to borrow the blue chip index's constituents has surged...

    • Securities Finance
  207. Japan swept up in global risk re-pricing

    15 February 2016

    Global volatility has caught up with the Japanese credit market as credit risk priced into the country's corporate bonds now stands at a three...

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

    12 February 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Rex Energy leads oil and gas shorts...

    • Securities Finance
  209. Week Ahead Economic Overview

    12 February 2016 Chris Williamson

    "The week sees important insights into inflation trends in the US, UK and China, as well as fourth quarter economic growth figures for Japan....

    • Purchasing Managers’ Index (PMI)
  210. US retail sales show reassuring rebound in January

    12 February 2016 Chris Williamson

    Official data showed US retail sales rebounding in January after a disappointing end to 2015. Core sales were 0.6% higher after declining 0.3%...

    • Purchasing Managers’ Index (PMI)
  211. UK construction sector back in recession but ends 2015 on brighter note

    12 February 2016 Chris Williamson

    "UK construction output rose 1.5% in December, according to the Office for National Statistics, but the rise was insufficient to avert a further..."...

    • Purchasing Managers’ Index (PMI)
  212. Spain stands out as bright light amid sluggish fourth quarter eurozone growth

    12 February 2016 Chris Williamson

    Official data confirm the steady but disappointingly unspectacular growth achieved by the eurozone at the end of last year. Gross domestic product...

    • Purchasing Managers’ Index (PMI)
  213. German economic growth remains sluggish in fourth quarter

    12 February 2016 Oliver Kolodseike

    "It was an unspectacular end to 2015 for the German economy, with growth failing to accelerate from the 0.3% seen in the third quarter. PMI survey...

    • Purchasing Managers’ Index (PMI)
  214. Market volatility sparks risk off trades

    12 February 2016

    "A tumultuous week in global financial markets saw safe haven government bond yields continue their descent to zero, while UK government credit...

    • Credit Default Swaps (CDS)
  215. Dividend conundrum in store for big oil

    11 February 2016 Relte Stephen Schutte

    "Despite being set to fall by a quarter from the highs seen in 2013, the dividend payments made by large cap oil and gas firms have proven relatively..."...

    • Securities Finance
  216. Gold shines on mining credit

    11 February 2016

    The market has rekindled its love affair with gold in its quest for safe assets which has driven a wedge between the bonds tied to the commodity's...

    • Credit Default Swaps (CDS)
  217. Consumers services feel the January cold

    10 February 2016

    "Consumer spending has remained relatively downbeat, with consumer services firms coming at the bottom of the inaugural Markit US Sector PMI....

    • Securities Finance
  218. Oil sector leads UK industrial decline in fourth quarter

    10 February 2016 Chris Williamson

    "UK industrial output slumped in the closing quarter of last year, led down by collapsing production in the energy market and a stagnant manufacturing..."...

    • Purchasing Managers’ Index (PMI)
  219. Periphery trade continues despite market volatility

    10 February 2016

    Spanish and Italian bonds have proven relatively resilient in the recent market volatility as investors seek the safety of the ECB. Italy and...

    • Credit Default Swaps (CDS)
  220. European financials deflate in 2016

    09 February 2016 Relte Stephen Schutte

    "The potential for a prolonged sub-to-near-zero interest rate environment has turned the market tide against European banking shares, but investor...

    • Securities Finance
  221. Kenya leads the way in Africa at start of 2016

    09 February 2016 Philip Leake

    "The latest batch of PMI data for Africa, compiled for Standard Bank by Markit, pointed to divergent trends across the continent in January....

    • Purchasing Managers’ Index (PMI)
  222. Global economy starts 2016 on unsure footing

    09 February 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)
  223. Distressed bond numbers escalate at alarming pace

    09 February 2016

    "The number of distressed bonds in the $HY bond universe continues to increase, with European HY entering the fray. The ratio of distressed bonds...

    • Credit Default Swaps (CDS)
  224. Global economy starts 2017 on the front foot, PMI at 22-month high

    08 February 2016

    Global economy starts 2017 on the front foot, PMI at 22-month high

  225. Markit Non-Agency RMBS - Yield Summary - February 5, 2016

    08 February 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
  226. Banks send European corporate credit risk soaring

    08 February 2016

    Troubles in Europe's banking sector have led to widespread risk aversion among European corporate credit. Markit iBoxx EUR Contingent Convertible...

    • Credit Default Swaps (CDS)
  227. The ETF launch debate

    05 February 2016 Relte Stephen Schutte

    "ETF issuance has increased exponentially as issuers rush to grab a piece of the ETF pie, but new launches have struggled to lure investors in...

    • Exchange-Traded Funds (ETFs)
  228. Most shorted ahead of earnings

    05 February 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Canadian mortgage lender Home Capital...

    • Securities Finance
  229. Week Ahead Economic Overview

    05 February 2016 Chris Williamson

    "GDP numbers are expected to show further signs of global economic growth having weakened at the end of last year, leaving the markets to watch...

    • Purchasing Managers’ Index (PMI)
  230. US unemployment hits eight-year low but hiring trend slows at start of year

    05 February 2016 Chris Williamson

    "Signs of a slowdown in hiring, still-weak annual pay growth and disappointing survey data, all pitched alongside an adverse financial market...

    • Purchasing Managers’ Index (PMI)
  231. Risk off-mode continues in earnest

    05 February 2016

    "Last week saw the bond market discount the possibility of an interest rate hike, while credit risk continued to surge. The Markit iBoxx $ Treasuries...

    • Credit Default Swaps (CDS)
  232. Sector rotation rises in popularity

    04 February 2016

    "US sector ETFs have gained popularity in recent months as prevailing economic winds disperse returns across sectors, encouraging increased adoption...

    • Securities Finance
  233. Consumer goods sector drives US growth at start of 2016

    04 February 2016 Philip Leake

    The first public release of US Sector PMI" data from Markit signalled higher output in all of the monitored sectors apart from consumer services...

    • Purchasing Managers’ Index (PMI)
  234. Non-Agency RMBS prices fall despite fundamentals

    04 February 2016

    Despite a steady US housing recovery, recent liquidity pressures have led to a fall in Non-Agency RMBS prices. Primary dealer holdings of USD...

    • Structured Finance
  235. UK linkers outperform despite falling inflation expectations

    04 February 2016

    "Despite the UK's monetary policy committee highlighting weak inflation today, inflation-linked gilts have proved to be a strong investment so...

    • Credit Default Swaps (CDS)
  236. Non-Agency RMBS prices fall despite fundamentals

    04 February 2016

    "Despite a steady US housing recovery, recent liquidity pressures have led to a fall in Non-Agency RMBS prices. Primary dealer holdings of USD...

    • Credit Default Swaps (CDS)
  237. UK PMIs show pick-up in speed in January, but cracks appear in economy's resilience

    03 February 2016 Chris Williamson

    "The UK economy exhibited signs of fortitude in the face of multiple headwinds in January, with growth edging higher despite intensifying uncertainty...

    • Purchasing Managers’ Index (PMI)
  238. Stronger services growth offsets manufacturing downturn in China

    03 February 2016 Chris Williamson

    "China's services economy showed signs of renewed life at the start of the year, helping to offset a deepening downturn in the manufacturing...

    • Purchasing Managers’ Index (PMI)
  239. Indian business activity rebounds after flooding

    03 February 2016 Chris Williamson

    "January saw business activity in India rebound after being beset by extensive flooding late last year. The Nikkei PMI surveys, compiled by Markit...

    • Purchasing Managers’ Index (PMI)
  240. Eurozone economy slows at start of the year and price fall intensifies

    03 February 2016 Chris Williamson

    A disappointing eurozone PMI survey for January indicated one of the weakest expansions seen over the past year and raises the prospect of further...

    • Purchasing Managers’ Index (PMI)
  241. Brazil's downturn shows signs of moderating at start of year

    03 February 2016 Chris Williamson

    "Brazil remained in a state of severe economic contraction at the start of the year, though the downturn showed signs of moderating. Markit's...

    • Purchasing Managers’ Index (PMI)
  242. Astute shorts benefit as 'January effect' fades

    02 February 2016 Relte Stephen Schutte

    "Shares with good earnings momentum heading into January were not immune to the recent sell off, but their performance still managed to outperform...

    • Securities Finance
  243. Nigerian bonds rebound from lows

    02 February 2016

    The news that Nigeria was in talks with the World Bank and African Development Bank has been treated well by the market as its bonds are now...

    • Credit Default Swaps (CDS)
  244. Yields up but carmakers emit fewer dividends

    01 February 2016 Relte Stephen Schutte

    "Amid sector divergence, aggregate dividend payments from European car makers are set to skid in 2016 despite some strong underlying performances...

    • Securities Finance
  245. Czech Republic breaks developed world dominance of manufacturing rankings

    01 February 2016 Chris Williamson

    "Global manufacturing remained in the doldrums at the start of the year, beset by downturns in some of the world's largest emerging markets....

    • Purchasing Managers’ Index (PMI)
  246. Markit Non-Agency RMBS - Yield Summary - January 29, 2016

    01 February 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
  247. Markit Agency RMBS - Specified Pool Summary - January 2016

    01 February 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
  248. Most shorted ahead of earnings

    29 January 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Falling DVD rentals at Outerwall's...

    • Securities Finance
  249. Week Ahead Economic Overview

    29 January 2016 Oliver Kolodseike

    The release of PMI data will provide data watchers with the first available information on global economic trends in 2016 and The Bank of England...

    • Purchasing Managers’ Index (PMI)
  250. US economy slowed sharply in late 2015 with warning lights flashing for 2016

    29 January 2016 Chris Williamson

    "US economic growth slowed sharply in the final quarter of last year, according to the first official estimate. At least some of the weakness...

    • Purchasing Managers’ Index (PMI)
  251. Japan takes rates negative; Mexico beats EM peers

    29 January 2016

    "Credit markets react positively to Bank of Japan's introduction of negative interest rates, while Mexican government bonds outperform emerging...

    • Credit Default Swaps (CDS)
  252. Return of the REIT picker

    28 January 2016 Relte Stephen Schutte

    "Thwarted by interest rate jitters REITs delivered a lacklustre performance in 2015. However, superior selection criteria could have delivered...

    • Securities Finance
  253. European equity trading regains its swagger

    28 January 2016

    "After a great start to the year, European cash equities trading volumes held onto their momentum in a volatile second half, which saw the value...

    • Securities Finance
  254. UK economy sustains steady growth in fourth quarter but faces tough 2016

    28 January 2016 Chris Williamson

    "UK economic growth edged higher in the final quarter of last year, according to the initial official estimate of gross domestic product. However...

    • Purchasing Managers’ Index (PMI)
  255. January volatility ties in with weaker corporate bond liquidity

    28 January 2016

    "Recent volatility has seen a selloff in corporate bonds, with Markit data indicating weaker liquidity metrics. 70%+ of large " and $ corporate...

    • Credit Default Swaps (CDS)
  256. Uncertainty sees market load up on government bonds

    27 January 2016

    "The market's volatile start to the year has seen investors turn to the safety of government bonds in the US and Europe while corporate bond...

    • Credit Default Swaps (CDS)
  257. 2015 vintage year for Asian securities lending

    27 January 2016

    "As the world turned to Hong Kong to take of view on a slowing China, 2015 proved to be a banner year for Asia's securities lending market. Revenues...

    • Securities Finance
  258. US flash PMI signals further growth slowdown at start of year

    26 January 2016 Chris Williamson

    The first survey data of business activity in 2016 indicate an inauspicious start to the year for the US economy. A struggling manufacturing...

    • Purchasing Managers’ Index (PMI)
  259. Investors swap corporate bonds for govies

    26 January 2016

    descriptionDownload full article

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

    25 January 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
  261. Shale oil spilling over into regional banks

    25 January 2016 Relte Stephen Schutte

    Signs of pressure are emerging in North American Banks who financed the boom in shale oil. Sustained low oil prices are forcing banks to cut...

    • Securities Finance
  262. Risk widens among peripheral European bank credit

    25 January 2016

    "New banking rules have increased the cost of subordinated bank debt, with Europe's weaker institutions coming under investor scrutiny. The Markit...

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

    25 January 2016

    "The total trade volumes in the European loan market are slightly down in the final quarter of 2015. Total volumes have dropped to "14.807bn...

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

    22 January 2016 Relte Stephen Schutte

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Bank of Internet USA, United States...

    • Securities Finance
  265. Week Ahead Economic Overview

    22 January 2016 Oliver Kolodseike

    "In another important week for data watchers, the US Federal Open Market Committee announces its latest monetary policy decision a couple of...

    • Purchasing Managers’ Index (PMI)
  266. Japan flash PMI signals manufacturing resilience at start of year

    22 January 2016 Chris Williamson

    "Japanese manufacturers reported ongoing growth of production, order books, exports and employment at the start of 2016, suggesting the sector...

    • Purchasing Managers’ Index (PMI)
  267. ECB steps up dovish rhetoric; financial credit reeling

    22 January 2016

    "Credit markets reacted positively to fresh dovish ECB rhetoric, while US and European banks continue to see credit risk soar. Italian and Spanish..."...

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

    21 January 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. The big shorts of the faltering FTSE 100

    21 January 2016 Relte Stephen Schutte

    "UK short sellers are showing no signs of slowing down in the current market, yet investors relying on publically disclosed short positions are...

    • Securities Finance
  270. Low beta bulls vindicated

    21 January 2016

    "High beta shares have felt the brunt of the recent market slump, driving investors to embrace low beta ETFs with renewed vigour. Highest beta...

    • Securities Finance
  271. Global fixed income focus - December 2015

    21 January 2016 Chris Fenske

    "December proved to be an eventful month as the Federal Reserve raised interest rates for the first time since 2006, ending a zero rate policy...

    • Credit Default Swaps (CDS)
  272. Chinese corporate bonds on edge amid market turmoil

    21 January 2016

    "Further market volatility this year has been testing China's vast corporate bond market, with some areas proving more resilient than others....

    • Credit Default Swaps (CDS)
  273. Overcoming fragmentation in the FX market

    20 January 2016 Matthew Hill

    Over the last decade fragmentation has become the defining characteristic in the global FX market. While most of the focus has been on fragmentation...

  274. European volatility surges in New Year

    20 January 2016

    Volatility has greeted equity investors in the New Year and Europe is no exception; yet a closer look at the data shows that not all of the region's...

    • Securities Finance
  275. Leverage tightening the noose on US oil firms

    18 January 2016 Relte Stephen Schutte

    Evaporating credit lines are set to finally squeeze US energy firms as oil prices break through $30 a barrel and US banks sound the alarm on...

    • Securities Finance
  276. Global volatility shifts CDS-bond basis more positive

    18 January 2016

    Weak commodity and energy prices continue to drive a positive basis among single name European credits CDS spreads have been more reactive to...

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

    15 January 2016 Relte Stephen Schutte

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

    • Securities Finance
  278. Investors position for less volatility

    15 January 2016 Relte Stephen Schutte

    "Volatility has returned in earnest in 2016, encouraging investors to rush to volatility ETFs. But a closer look at fund flows reveals that investors...

    • Securities Finance
  279. Treasuries plunge below 2%; BHP succumbs to oil rout

    15 January 2016

    "Continued market volatility this week has seen increased demand for risk free assets, while an asset write off has sent BHP Billiton's credit...

    • Credit Default Swaps (CDS)
  280. HFT is cheating?

    14 January 2016 David Weisberger

    The flawed argument that the market is rigged by high frequency trading (HFT) firms is omnipresent in the media. Those who criticize HFT would...

  281. Short sellers hold steady after banner 2015

    14 January 2016

    "Appetite to sell stocks short has showed no signs of slowing into the new year, with demand to borrow shares up by over 14% in the last 12 months....

    • Securities Finance
  282. Week Ahead Economic Overview

    14 January 2016 Phil Smith

    China will remain in the spotlight as economic growth looks set to slide to the weakest since the global financial crisis. The week also sees...

    • Purchasing Managers’ Index (PMI)
  283. Investors flee high yield bonds as risk escalates

    14 January 2016

    "Despite remaining relatively calm amid the equity price volatility in the first few days of 2016, US high yield bond risk has now started to...

    • Credit Default Swaps (CDS)
  284. GILTS surge to top of global return table

    13 January 2016

    Lukewarm economic data has seen forecasters push back expectations of a rate rise from the Bank of England which has in turn seen pound denominated...

    • Credit Default Swaps (CDS)
  285. Financials is fastest-growing area of global economy in December

    13 January 2016 Philip Leake

    The final batch of Markit’s detailed global sector PMITM data for 2015 showed that finance, food & drink, pharmaceuticals and hi-tech services...

    • Purchasing Managers’ Index (PMI)
  286. New dawn for gold miners in 2016?

    12 January 2016 Relte Stephen Schutte

    Gold's allure may be back among investors after years of being shunned and $50bn of outflows from gold ETFs. Fresh turmoil in markets have seen...

    • Securities Finance
  287. Dividends challenged heading into 2016

    12 January 2016

    "The economic developments that rocked global markets last year are filtering through to dividend policies in 2016, putting a damper on payment...

    • Dividends
  288. UK manufacturing output falls for second month running

    12 January 2016 Chris Williamson

    "UK industry looks to have once again failed to grow in the closing quarter of last year, ending a tough year for manufacturers and energy companies...."...

    • Purchasing Managers’ Index (PMI)
  289. New indicators provide deeper global macro insights

    12 January 2016 Chris Williamson

    "The New Year sees the launch of new economic indicators designed to provide fresh insights into global economic trends. Markit, on behalf of...

    • Purchasing Managers’ Index (PMI)
  290. Noble downgrade turns spotlight onto who may be next

    12 January 2016

    "After Noble's credit rating was pushed to junk status last week, Markit reveals the names which may be next in line for a potential downgrade...

    • Credit Default Swaps (CDS)
  291. Markit Non-Agency RMBS - Yield Summary - January 8, 2016

    11 January 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
  292. Global economy ends 2015 on soft note amid emerging market gloom

    11 January 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)
  293. US treasury returns boosted despite fed hike

    11 January 2016

    "Ongoing market jitters has seen US treasury yields decline as investors move towards safer assets, boosting bond returns in the process. 10-yr...

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

    08 January 2016 Relte Stephen Schutte

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. US industrial supplies firm Fastenal...

    • Securities Finance
  295. Week Ahead Economic Overview

    08 January 2016 Oliver Kolodseike

    "After a turbulent start to the year for investors around the globe, the week sees important data that could further move stock markets. In the...

    • Purchasing Managers’ Index (PMI)
  296. UK recruitment industry reports further slowing of salary growth in December

    08 January 2016 Jack A. Kennedy

    "Pay pressures in the UK labour market eased at the end of 2015. The KPMG/REC Report on Jobs, published today, signalled that average starting...

    • Purchasing Managers’ Index (PMI)
  297. Chinese stock market panic jolts global credit

    08 January 2016

    "Weak manufacturing data and further steps to devalue the Chinese yuan saw global credit indices jump to their widest levels since last October...

    • Credit Default Swaps (CDS)
  298. Syndicated loans: Achieving a realtime view of risk

    07 January 2016

    With higher volatility in the loan market and pressure on margins, asset managers need to eliminate the information and process gaps that lead...

  299. Fog in Spain as Italy kicks it up a gear

    07 January 2016 Relte Stephen Schutte

    Strong PMI data indicates that Eurozone economic recovery is starting to take hold led by a resurgent Italian economy but its southern Spanish...

    • Securities Finance
  300. Middle Eastern credit risk surges

    07 January 2016

    The rising tension between Saudi Arabia and Iran and has exasperated an already tricky situation for the region's bondholders. Saudi Arabian...

    • Credit Default Swaps (CDS)

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