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A $134 Billion Investor Has a Fix for the Bond Market's Biggest Risk

DWS Group’s Christian Hille has found a way to protect his $134 billion portfolio from the kind of bond market swings that have hurt some of his biggest peers. He’s adding duration risk in the U.S., while reducing it in Europe. Hille, who runs global ... read more

Risk Builds as Junk Bonds Boom

CIT has raised almost $10 billion in junk debt in 2012, making it the year’s largest ... at the investment bank Drexel Burnham Lambert, initiated the issuance of high-risk, high-yield bonds to pay for hostile takeovers. The market collapsed in 1990 ... read more

Asset Management Insight

Issuance of sukuk, often referred to as Islamic bonds, has exploded as bond markets in regions like the Gulf Cooperation Council take off. Total sukuk issuance was $5 billion in 2003, growing to $134 billion ... real credit risk of the investment, we ... read more

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Big Risk Could Mean Big Profits - Or Slump - For Mammoth Energy Services

This big project equals big risk exposure in execution, politics, and finance, as well as the risk of management distraction from other segments. The Cobra division of Mammoth Energy Services (TUSK), a $1.3 billion market-cap company, has been awarded a $ ... read more

Investors dip a toe back in emerging markets

Despite ongoing concerns about the Russia-Ukraine standoff and a Chinese slowdown, investors are dabbling in emerging markets once again. Nearly $2.5 billion flowed ... slowing its monthly bond purchases. The U.S. central bank has pumped billions of ... read more

Fix-and-flip mortgage bonds: Wall Street's new housing bet to boost home flippers

In partnership with high-tech lenders, Wall Street has begun bundling ... the housing market in The Big Short — as one of its investors. By making it easier for fix-and-flip lenders to offload loans en masse, fix-and-flip mortgage bonds could allow ... read more

Despite strong markets, state pension fund still short $5 billion

Even after a year of double-digit stock market growth, New Mexico’s largest ... $1 billion last year and has ample assets to pay any obligations over the next two decades. “PERA is a billion-dollar business,” said Dominic Garcia, chief investment ... read more

Analysis: Credit investors see bargains among Europe banks

This has forced banks to pay investors more to buy their bonds, and made it tough for many banks from southern Europe to access the bond markets. Spanish bank BBVA (BBVA.MC), for example, managed to raise 2 billion ... likely to be a big wall of issuance ... read more

$134 Billion Investor Has Fix for Bond Market's Biggest Risk

(Bloomberg) -- DWS Group’s Christian Hille has found a way to protect his $134 billion portfolio from the kind of bond market swings that have hurt some of his biggest peers. He’s adding duration risk in the U.S., while reducing it in Europe. read more

Muni Bond Ripple Effects Of The Puerto Rico Bankruptcy

Several double-tax-free state muni funds -- popular with retired investors -- should be avoided. It's easy to dismiss that Puerto Rico filing for Title III bankruptcy will mean nothing to the American economy, municipal bond market ... has about $21 ... read more


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