Press esc to close search
Our education section provides in-depth guides and articles across a range of topics.
Our glossary is a great place to start if you’re new to the world of investing.
Bonds
The Evolving Role of US Treasuries in Investment Portfolios
US Treasuries are losing their status as safe investments as Bitcoin gains traction, reshaping investment strategies for traditional and crypto investors.
The Evolving Dynamics of Stock and Bond Investing Amid Inflation
The traditional stock-bond portfolio strategy is weakening due to inflation, rising yields, and changing correlations between investments.
UBS Questions Market Assumptions on Federal Reserve's Future Rate Cuts
UBS argues that the market misinterprets the Fed's stance, predicting a 25 basis point cut by December 2025 and two more by Q1 2026.
US Treasuries Stabilize Amid Easing Inflation Concerns
US Treasuries stabilize as inflation softens; bond market faces new dynamics while crypto investors respond to rising yields.
European Banks Embrace Long-term Strategy with 10-Year AT1 Bonds
European banks are extending AT1 bond call dates to 10 years, securing low borrowing costs and reshaping investment strategies.
Understanding Japan’s New Bridging Bonds and Their Impact on Investment
Japan's proposed bridging bonds aim to finance investments across 17 sectors, impacting markets and investor strategies.
Hedge Funds Dominate UK Bond Market with 60% Trading Volume
Hedge funds captured 60% of UK bond trading volumes in early 2025, highlighting their growing market influence amid banks withdrawing.
Japan Introduces Bridging Bonds to Fund Domestic Investment Strategies
Japan's new bridging bonds aim to finance critical investments while raising concerns about fiscal sustainability in bond markets.
Bank of Korea Maintains Interest Rate at 2.5% Amid Inflation Concerns
The Bank of Korea keeps interest rates at 2.5% for the seventh consecutive meeting, facing inflation pressures and predictions of future hikes.
Deutsche Bank's Analysis on Federal Reserve Interest Rates and Investor Implications
Deutsche Bank warns the Fed's interest rate is below standard policy models, impacting investment strategies and market expectations.
Understanding the Impact of Rising Treasury Yields on Financial Markets
The 10-year US Treasury yield nears 4.5%, raising concerns about its effects on equities, growth stocks, and cryptocurrencies.
Navigating the Risks of Rising Treasury Yields for Equity Investors
With the 10-year Treasury yield near 4.5%, investors face crucial decisions on equities amidst rising inflation and geopolitical tensions.
Japan's 40-Year Bond Auction: A Clear Sign of Investor Demand
Japan's recent bond auction shows strong investor demand, signaling renewed interest in long-term government debt amid fiscal pressures.
Understanding the European Central Bank's Economic Outlook and Rate Decisions
The ECB's economic forecast suggests a rate hike, driven by high energy prices and geopolitical tensions. Investors should prepare for implications.
ECB's Strategy to Tackle Persistent Inflation and Its Implications for Investors
The ECB aims to reduce stubborn inflation while cautioning investors about potential interest rate changes that could reshape the market.