A debt fund is an investment pool, such as a mutual fund or exchange-traded fund, in which core holdings are fixed income investments.
It is easy to draw on one’s emotional bias and therefore build a believable case for what the market will do next. We think this is a mistake for investors positioning for the remainder of 2025.
The private debt market kicked off 2025 with a robust performance, as detailed in Private Debt Investor’s Q1 2025 Fundraising Report. Despite lingering macroeconomic uncertainties and geopolitical ...
Margin debt’s recent jump to a new high is potentially worrying. But it’s not clear just how much. Margin debt reflects how much investors have borrowed from their brokers to purchase more stocks. It ...
LONDON/DUBAI, July 2 (Reuters) - Emerging market debt sales boomed in the first half of the year, defying tariff tantrums, missile attacks and gyrating oil prices, on track for another year of records ...
A growing number of loss-making public companies — from biotech firms to gold miners, hotel operators, EV manufacturers, and even vape producers — are tapping debt markets to acquire cryptocurrency, ...
Commercial real estate debt delivered strong performance in 2025 and is well-positioned for continued success in 2026 and beyond. Read more here.
Emerging-market debt is not a single, uniform asset class. It’s a diverse opportunity set with distinct risk and return drivers that can enhance a portfolio when understood correctly. The asset class ...
Discover how the return on market value of equity (ROME) metric helps value investors find undervalued stocks by analyzing profitability against market capitalization.
Investors buying stocks with borrowed money suggests confidence that the market will keep rising. If only that were true. Margin debt's recent jump to a new high is potentially worrying. But it's not ...
Some results have been hidden because they may be inaccessible to you
Show inaccessible results