Tags :JP Morgan EMBI

Financial Markets

U.S Favors a Quarter-Point Interest Rate Move

17/03/2022 10/03/2022  Change Year to Date BLOM Bond Index (BBI) 11.90 11.88 0.20% 8.61% Weighted Yield          86.32% 86.05% 0.31% -1.71% Weighted Spread              8,549               8,527 0.26% -2.59%   17/03/2022 10/03/2022  Change BBI 11.90 11.88 0.20% JP Morgan EMBI 836.03 824.84 1.36% 5Y LEB 78.00% 78.15% Read More

Financial Markets

U.S. 10-year Treasury Yield Increased This Week, with Further Interest Rate Hikes to Slow Demand and Push Inflation Expectations Down

  10/02/2022 03/02/2022  Change Year to Date BLOM Bond Index (BBI) 12.54 11.69 7.31% 14.43% Weighted Yield          81.49% 85.33% -4.50% -7.21% Weighted Spread              8,069               8,482 -4.87% -8.06%   10/02/2022 03/02/2022  Change BBI 12.54 11.69 7.31% JP Morgan Read More

Financial Markets

U.S. 5-year Treasury Yield Slightly Increased This Week, Amid Signals of Possible Interest Rate Hikes

  27/01/2022 20/01/2022  Change Year to Date BLOM Bond Index (BBI) 11.16 10.18 9.65% 1.81% Weighted Yield          87.94% 93.38% -5.82% 0.14% Weighted Spread              8,751               9,305 -5.95% -0.28%   27/01/2022 20/01/2022  Change BBI 11.16 10.18 9.65% JP Morgan EMBI 892.93 892.86 0.01% 5Read More

Financial Markets

Federal Reserve’s Bond Purchase to Continue Until a Further Progress in Employment and Inflation is Observed

30/09/2021 23/09/2021  Change Year to Date BLOM Bond Index (BBI) 17.31 17.35 -0.21% 22.12% Weighted Yield          61.02% 60.77% 0.40% -21.84% Weighted Spread              6,097               6,074 0.38% -26.35%   30/09/2021 23/09/2021  Change BBI 17.31 17.35 -0.21% JP Morgan EMBI 919.43 932.42 Read More

Financial Markets

Federal Reserve to Take New Actions 

  23/09/2021 16/09/2021  Change Year to Date BLOM Bond Index (BBI) 17.35 16.66 4.13% 22.38% Weighted Yield          60.77% 62.38% -2.57% -22.09% Weighted Spread              6,074               6,234 -2.57% -26.62%   23/09/2021 16/09/2021  Change BBI 17.35 16.65 4.19% JP Morgan Read More