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Policy and Regulatory Commentary
A Decade of Dodd-Frank
This past week marked the tenth anniversary of the Dodd–Frank Wall Street Reform and Consumer Protection Act, or, as we know it, Dodd-Frank.
Fixed Income Insights
LIBOR Is Changing: Five Important Updates
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T. Rowe Price's working group provides an update to the plans to replace LIBOR with new alternative reference rates.
Fixed Income Insights
Currency Hedging Can Boost Yields and Reduce Volatility
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U.S.-based bond investors who hedge the currencies of foreign bonds can obtain higher yields and mitigate portfolio volatility.
Policy and Regulatory Commentary
70 Days to Fund the Largest Government in the World
As we noted last week, the end of the federal government’s fiscal year is September 30—just 70 days away.
Fixed Income Insights
Seeking opportunities in a 'crooked U' recovery
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Dramatic dislocations offer selective potential upside in fixed-income credit.
Policy and Regulatory Commentary
The Bare Minimum: What Congress Actually HAS To Do This Year
Members of Congress are have been back in their home states and districts for the last two weeks and won’t return to Washington until July 20.
Policy and Regulatory Commentary
Fiscal policy matters
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Any proposal for a Phase 4 stimulus package must balance when and how to bring Americans back to work safely
Fixed Income Insights
For fixed income, it's a tale of two walls
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A wall of worry vs. a wall of liquidity is limiting back-half options.