Not exact matches
The
broader S&P 500 also retreated to trade slightly lower ahead of the Federal Open
Market Committee's first
interest rate announcement since the new administration took office.
The Fed claims this «should put downward pressure on longer - term
interest rates, support mortgage
markets, and help to make
broader financial conditions more accommodative.»
Factors that could cause or contribute to actual results differing from our forward - looking statements include risks relating to: failure of DBRS to
rate the Notes at the anticipated
ratings levels, which is a closing condition, or at all; changes in the financial
markets, including changes in credit
markets,
interest rates, securitization
markets generally and our proposed securitization in particular; the willingness of investors to buy the Notes; adverse developments regarding OnDeck, its business or the online or
broader marketplace lending industry generally, any of which could impact what credit
ratings, if any, are issued with respect to the Notes; the extended settlement cycle for the scheduled closing on April 17, 2018, which may exacerbate the foregoing risks; and other risks, including those described in our Annual Report on Form 10 - K for the year ended December 31, 2017 and in other documents that we file with the Securities and Exchange Commission from time to time which are or will be available on the Commission's website at www.sec.gov.
Citing persistent weak labor -
market conditions and continued global financial turmoil, the Fed says its monetary easing «should put downward pressure on longer - term
interest rates, support mortgage
markets and help to make
broader financial conditions more accommodative.»
China's biggest banks plan to lower
interest rates on home mortgages, state media reported on Tuesday, highlighting Beijing's concerns about the flagging property
market and its impact on the
broader economy.
The «
broad market» in fixed income is typically measured by the Bloomberg Barclays U.S. Aggregate Index (Bloomberg Barclays Aggregate), which is
market - cap weighted and has historically had an approximately 90/10 split between
interest rate risk and credit risk.
Even more disconcerting is the fact that the relative strength of the XHB has remained below its falling 200 - day moving average in spite of the
broader equity
market recovery and the fact that the Fed has backed off its hawkish
interest rate stance — two things that would normally translate into higher confidence for homebuilders.
The Committee's sizable and still - increasing holdings of longer - term securities should maintain downward pressure on longer - term
interest rates, support mortgage
markets, and help to make
broader financial conditions more accommodative, which in turn should promote a stronger economic recovery and help to ensure that inflation, over time, is at the
rate most consistent with the Committee's dual mandate.
We're seeing sectors of the economy roll over, and asset prices following suit, but the
broad market is levitating — these large platform - like companies have been levitating the
market — and central banks are raising
interest rates.
Since then, the
broad market has essentially gone sideways, though capitalization - weighted indices such as the S&P 500 have recently clawed to new highs on enthusiasm about negative
interest rates abroad (which I believe actually reflect fresh deterioration in global economic conditions across Britain, Europe, Japan, and China).
«When you look at the
broader economy, including a strong job
market, rising wages, low inflation and low
interest rates, and couple them to low fuel prices and strong consumer confidence, you have everything you need for auto sales to weather headwinds and remain at or near historic highs,» said Mustafa Mohatarem, GM chief economist.
The stars aligned in spectacular fashion for the municipal bond
market in 2014: Low supply amid solid demand, improving fiscal conditions among state and local issuers, and a
broad drop in
interest rates (and rise in bond prices) helped make munis one of the top - performing fixed income asset classes of the year.
With membership restricted to veterans and active - duty servicemembers, Navy Federal provides excellent service and
interest rates that beat almost everything available on the
broader market.
Schroder GAIA BlueTrend is a trend following strategy that invests across a
broad range of
markets, including equities, bonds, commodities,
interest rates and currencies.
Taken together, these actions should maintain downward pressure on longer - term
interest rates, support mortgage
markets, and help to make
broader financial conditions more accommodative, which in turn should promote a stronger economic recovery and help to ensure that inflation, over time, is at the
rate most consistent with the Committee's dual mandate.
In sum, when rebalancing a portfolio either on a fixed schedule or as a result of divergence from prior allocations, investors should take into account a
broader market and
interest rate context, rather than just follow rigid rules.
This ETF provides
broad exposure to credit
markets, while maintaining a short term posture and
interest rate protection.
The «
broad market» in fixed income is typically measured by the Bloomberg Barclays U.S. Aggregate Index (Bloomberg Barclays Aggregate), which is
market - cap weighted and has historically had an approximately 90/10 split between
interest rate risk and credit risk.
Here are the major reasons why NRIs are showing more and more
interest in investing in Indian mutual funds: - While the mutual funds
market in developed countries like USA has a much
broader base and custom made plans for any eventuality, the fact remains that the mutual fund returns are growing at a much faster
rate in India than in the developed countries.
Allen M. Levin, CFA, is a fixed income portfolio manager on the US
Broad Markets team who focuses primarily on inflation - linked and interest - rate m
Markets team who focuses primarily on inflation - linked and
interest -
rate marketsmarkets.
The unwillingness to improve is part of a phenomenon in the
broader bond
market (which is responsible for «
interest rates» in general).
The S&P 500 would seem to outpace the Reference Capitalization index when the stock
market is rising, the
broad US bond
market is rising (i.e.,
interest rates are falling), and high - yield bonds, emerging
markets bonds and REITS are performing badly.
We are prepared — and would find it encouraging — to see the
broader bond
market environment shift from one of fear and historically low yields to one of renewed growth and potentially rising
interest rates.
Interest rates on variable rate loans depend on prevailing market interest rates, so the total interest owed will depend upon changes in the broader envi
Interest rates on variable
rate loans depend on prevailing
market interest rates, so the total interest owed will depend upon changes in the broader envi
interest rates, so the total
interest owed will depend upon changes in the broader envi
interest owed will depend upon changes in the
broader environment.
REIT share prices, like the
broader stock
market, have been sensitive to changes in the outlook for
interest rates, including both the short - term
rates set by the Federal Reserve and the long - term
rates that are governed more by
market forces.
It discusses three fixed income strategies using ETFs:
broad market exposure,
interest rate management and tax - efficient income.
(The curves in question plot
market prices for various contracts at different maturities — cf. term structure of
interest rates) «In
broad terms, backwardation reflects the majority
market view that spot prices will move down, and contango that they will move up.
The fundamentals for the coin look solid thanks to the 5 % annual
interest rate paid to KMD holders, and the current low price is more a reflection of
broad based weakness in the cryptocurrency
markets.