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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.
Topics
Bonds
Japan's Economic Challenges: Currency Crisis and Rising Bond Yields
Japan faces economic challenges with a weakening yen, rising bond yields, and a record budget, complicating financial market dynamics.
Bank of Japan Considers Bond Purchase Pause Amid Rising Yields
The Bank of Japan is contemplating a pause in its bond purchasing reduction amidst rising yields, impacting markets and investors.
Tencent Sets to Raise $3 Billion in Dual-Currency Bond Offering
Tencent prepares to raise $3 billion in bonds, a key indicator of investor interest in Chinese tech debt amid changing market narratives.
Tencent's Dual-Currency Bond Offering: A Strategic Move Amidst Regulatory Challenges
Tencent is returning to the bond market with a $4 billion dual-currency offering, signaling strong demand despite regulatory risks.
Schroders Bets Big on Italian Sovereign Debt Amid Global Shifts
Schroders is significantly investing in 10-year Italian bonds, shifting away from US Treasuries and German Bunds, indicating market changes.
Understanding Treasury Prices and Market Implications for Investors
Treasury prices have dropped as markets react to potential Fed rate hikes, inflation data, and geopolitical tensions in the Middle East.
Implications of the European Central Bank's Anticipated Rate Hike
The ECB's expected interest rate hike sparks debate on future policy and implications for investors in eurozone bonds and currencies.
US Government's Rising Short-Term Debt: What Investors Need to Know
The US government's short-term debt has surged to $8.3 trillion, raising concerns over refinancing and market stability.
Brazil's Historic Move into Panda Bonds: Implications for Investors
Brazil is set to issue its first-ever panda bond, a significant strategic move to diversify its debt portfolio away from the US dollar.
Wall Street Experiences Major Decline Amid Strong Jobs Report
Wall Street faced a significant drop as strong jobs data raised concerns about interest rate cuts, impacting equities and cryptocurrencies.
US Employment Surge Prompts Market Repricing and Fed Rate Hike Expectations
The US economy added 172,000 jobs in May, prompting a sell-off in Treasuries and expectations of a Federal Reserve interest rate hike.
Surprising Employment Data Sparks Market Shakeup
A job report surge disrupts bond and crypto markets, highlighting the interconnected nature of financial conditions and investor expectations.
India's New Tax Policy: What It Means for Foreign Bond Investors
India's new tax exemption boosts the appeal of government bonds for foreign investors, aiming to stabilize the rupee and attract capital.
Japan’s Central Bank Might Consider Larger Rate Hike to Stabilize Yen
Experts warn that Japan’s central bank may need to implement larger rate hikes to address inflation and stabilize the yen.
Understanding Recent Changes in U.S. Interest Rate Expectations
Recent labor market data raises December rate hike odds to 63%, as markets adjust expectations amid uncertainty in interest rates.