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Market Outlooks
Global Weekly Commentary: Macro outlook retakes spotlight
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Last week’s U.S. debt ceiling deal removes near-term uncertainty and thrusts the market’s focus back to the macro picture: sticky inflation due to tight labor markets.
Market Outlooks
Global Weekly Commentary: Markets now accept rate cuts unlikely
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We’ve been saying since the end of 2022 that rate cuts this year would be unlikely as inflation sticks around.
Market Outlooks
Weekly Investment Commentary: Commercial real estate not vacant of opportunity
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Under the microscope, not under the bus. This spring’s banking sector turmoil has investors casting a wary eye on commercial mortgage-backed securities (CMBS).
Market Outlooks
Global Weekly Commentary: Public or private? A strategic question
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The banking tumult has reshaped opportunities for income: We now favor private over public credit on a strategic horizon of five years and longer.
Market Outlooks
Weekly Investment Commentary: You can't be too prepared as the debt deadline nears
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As the June 1 “X date” approaches, one thing investors can be certain of is that more uncertainty lies ahead. We can expect further volatility across equity and fixed income markets until we have greater clarity on the outcome — and probable impacts — of the U.S. debt ceiling negotiations.
Market Outlooks
Global Weekly Commentary: U.S. debt stand-off to add to volatility
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Negotiations to lift the U.S. debt ceiling are heating up. The Treasury hit the $31.4 trillion “ceiling,” or cap on how much debt it can issue, in January.