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Market rides out China-US fray with oil, rates and jobs back in focus
2 years ago
US and European credit markets are exhibiting a firmer tone on Wednesday, with investor focus having shifted from Taiwan concerns to Opec+ oil supply. But a looming Bank of England rate hike and US jobs data mean caution remains the watchword -
Market jitters mount as US delivers May CPI
2 years ago
Credit spreads have moved sharply wider for the fourth day straight as investors digested the European Central Bank’s hawkish turn and watched with trepidation for the US to reveal its May consumer price index numbers -
European credit hedging extends as investors watch for ECB hiking signal
2 years ago
European underperformance of US credit has extended into a third day, with investors continuing to hedge exposure ahead of the European Central Bank’s meeting statements -
Selecta and Southwest battered as market trades flat as a pancake
4 years ago
Single name credit movements are taking focus as market volatility abates, with Selecta Group and Southwest Airlines earnings putting them among the biggest wideners
4 results found Showing page 1 of 1
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