Customer Logins

Obtain the data you need to make the most informed decisions by accessing our extensive portfolio of information, analytics, and expertise. Sign in to the product or service center of your choice.

Customer Logins

My Logins

All Customer Logins
S&P Global S&P Global Marketplace
Explore S&P Global

  • S&P Global
  • S&P Dow Jones Indices
  • S&P Global Market Intelligence
  • S&P Global Mobility
  • S&P Global Commodity Insights
  • S&P Global Ratings
  • S&P Global Sustainable1
Close
Discover more about S&P Global’s offerings
Investor Relations
  • Investor Relations Overview
  • Investor Presentations
  • Investor Fact Book
  • News Releases
  • Quarterly Earnings
  • SEC Filings & Reports
  • Executive Committee
  • Corporate Governance
  • Merger Information
  • Stock & Dividends
  • Shareholder Services
  • Contact Investor Relations
Languages
  • English
  • 中文
  • 日本語
  • 한국어
  • Português
  • Español
  • ไทย
About
  • About Us
  • Contact Us
  • Email Subscription Center
  • Media Center
  • Glossary
Product Login
S&P Global S&P Global Market Intelligence Market Intelligence
  • Who We Serve
  • Solutions
  • News & Insights
  • Events
  • Product Login
  • Request Follow Up
  •  
    • Academia
    • Commercial Banking
    • Corporations
     
    • Government & Regulatory Agencies
    • Insurance
    • Investment & Global Banking
     
    • Investment Management
    • Private Equity
    • Professional Services
  • WORKFLOW SOLUTIONS
    • Capital Formation
    • Credit & Risk Solutions
    • Data & Distribution
    • Economics & Country Risk
    • Sustainability
    • Financial Technology
     
    • Issuer & IR Solutions
    • Lending Solutions
    • Post-Trade Processing
    • Private Markets
    • Risk, Compliance, & Reporting
    • Supply Chain
    PRODUCTS
    • S&P Capital IQ Pro
    • S&P Global Marketplace
    • China Credit Analytics
    • Climate Credit Analytics
    • Credit Analytics
    • RatingsDirect ®
    • RatingsXpress ®
    • 451 Research
    See More S&P Global Solutions
     
    • Capital Access
    • Corporate Actions
    • KY3P ®
    • EDM
    • PMI™
    • BD Corporate
    • Bond Pricing
    • ChartIQ
  • CONTENT
    • Latest Headlines
    • Special Features
    • Blog
    • Research
    • Videos
    • Infographics
    • Newsletters
    • Client Case Studies
    PODCASTS
    • The Decisive
    • IR in Focus
    • Masters of Risk
    • MediaTalk
    • Next in Tech
    • The Pipeline: M&A and IPO Insights
    • Private Markets 360°
    • Street Talk
    SEE ALL EPISODES
    SECTOR-SPECIFIC INSIGHTS
    • Differentiated Data
    • Banking & Insurance
    • Energy
    • Maritime, Trade, & Supply Chain
    • Metals & Mining
    • Technology, Media, & Telecoms
    • Investment Research
    • Sector Coverage
    • Consulting & Advisory Services
    More ways we can help
    NEWS & RESEARCH TOPICS
    • Credit & Risk
    • Economics & Country Risk
    • Financial Services
    • Generative AI
    • Maritime & Trade
    • M&A
    • Private Markets
    • Sustainability & Climate
    • Technology
    See More
    • All Events
    • In-Person
    • Webinars
    • Webinar Replays
    Featured Events
    Webinar2024 Trends in Data Visualization & Analytics
    • 10/17/2024
    • Live, Online
    • 11:00 AM - 12:00 PM EDT
    In PersonInteract New York 2024
    • 10/15/2024
    • Center415, 415 5th Avenue, New York, NY
    • 10:00 -17:00 CEST
    In PersonDatacenter and Energy Innovation Summit 2024
    • 10/30/2024
    • Convene Hamilton Square, 600 14th St NW, Washington, DC 20005, US
    • 7:30 AM - 5:00 PM ET
  • PLATFORMS
    • S&P Capital IQ Pro
    • S&P Capital IQ
    • S&P Global China Credit Analytics
    • S&P Global Marketplace
    OTHER PRODUCTS
    • Credit Analytics
    • Panjiva
    • Money Market Directories
     
    • Research Online
    • 451 Research
    • RatingsDirect®
    See All Product Logins

Financial Services Commentary and Analysis

Powering the world's financial markets with data, technology and innovation

We provide industry-leading data, software & technology platforms and managed services to tackle some of the most difficult challenges in financial markets. We help our customers better understand complicated markets, reduce risk, operate more efficiently and comply with financial regulation.

{ "speed": 600, "fade": false, "dots": false, "arrows": false, "autoplay":true, "autoplaySpeed":4000 }
  • PMI Commentary and Analysis
  • Asia Pacific Financial Services Insights
Subscribe to RSS Feed Subscribe Now

Browse Content

Filter By

Viewing 3601 - 3900 of 6071 results

  1. Dividend conundrum in store for big oil

    11 February 2016 Relte Stephen Schutte

    "Despite being set to fall by a quarter from the highs seen in 2013, the dividend payments made by large cap oil and gas firms have proven relatively..."...

    • Securities Finance
  2. Gold shines on mining credit

    11 February 2016

    The market has rekindled its love affair with gold in its quest for safe assets which has driven a wedge between the bonds tied to the commodity's...

    • Credit Default Swaps (CDS)
  3. Consumers services feel the January cold

    10 February 2016

    "Consumer spending has remained relatively downbeat, with consumer services firms coming at the bottom of the inaugural Markit US Sector PMI....

    • Securities Finance
  4. Oil sector leads UK industrial decline in fourth quarter

    10 February 2016 Chris Williamson

    "UK industrial output slumped in the closing quarter of last year, led down by collapsing production in the energy market and a stagnant manufacturing..."...

    • Purchasing Managers’ Index (PMI)
  5. Periphery trade continues despite market volatility

    10 February 2016

    Spanish and Italian bonds have proven relatively resilient in the recent market volatility as investors seek the safety of the ECB. Italy and...

    • Credit Default Swaps (CDS)
  6. European financials deflate in 2016

    09 February 2016 Relte Stephen Schutte

    "The potential for a prolonged sub-to-near-zero interest rate environment has turned the market tide against European banking shares, but investor...

    • Securities Finance
  7. Kenya leads the way in Africa at start of 2016

    09 February 2016 Philip Leake

    "The latest batch of PMI data for Africa, compiled for Standard Bank by Markit, pointed to divergent trends across the continent in January....

    • Purchasing Managers’ Index (PMI)
  8. Global economy starts 2016 on unsure footing

    09 February 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  9. Distressed bond numbers escalate at alarming pace

    09 February 2016

    "The number of distressed bonds in the $HY bond universe continues to increase, with European HY entering the fray. The ratio of distressed bonds...

    • Credit Default Swaps (CDS)
  10. Global economy starts 2017 on the front foot, PMI at 22-month high

    08 February 2016

    Global economy starts 2017 on the front foot, PMI at 22-month high

  11. Markit Non-Agency RMBS - Yield Summary - February 5, 2016

    08 February 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  12. Banks send European corporate credit risk soaring

    08 February 2016

    Troubles in Europe's banking sector have led to widespread risk aversion among European corporate credit. Markit iBoxx EUR Contingent Convertible...

    • Credit Default Swaps (CDS)
  13. The ETF launch debate

    05 February 2016 Relte Stephen Schutte

    "ETF issuance has increased exponentially as issuers rush to grab a piece of the ETF pie, but new launches have struggled to lure investors in...

    • Exchange-Traded Funds (ETFs)
  14. Most shorted ahead of earnings

    05 February 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Canadian mortgage lender Home Capital...

    • Securities Finance
  15. Week Ahead Economic Overview

    05 February 2016 Chris Williamson

    "GDP numbers are expected to show further signs of global economic growth having weakened at the end of last year, leaving the markets to watch...

    • Purchasing Managers’ Index (PMI)
  16. US unemployment hits eight-year low but hiring trend slows at start of year

    05 February 2016 Chris Williamson

    "Signs of a slowdown in hiring, still-weak annual pay growth and disappointing survey data, all pitched alongside an adverse financial market...

    • Purchasing Managers’ Index (PMI)
  17. Risk off-mode continues in earnest

    05 February 2016

    "Last week saw the bond market discount the possibility of an interest rate hike, while credit risk continued to surge. The Markit iBoxx $ Treasuries...

    • Credit Default Swaps (CDS)
  18. Sector rotation rises in popularity

    04 February 2016

    "US sector ETFs have gained popularity in recent months as prevailing economic winds disperse returns across sectors, encouraging increased adoption...

    • Securities Finance
  19. Consumer goods sector drives US growth at start of 2016

    04 February 2016 Philip Leake

    The first public release of US Sector PMI" data from Markit signalled higher output in all of the monitored sectors apart from consumer services...

    • Purchasing Managers’ Index (PMI)
  20. Non-Agency RMBS prices fall despite fundamentals

    04 February 2016

    Despite a steady US housing recovery, recent liquidity pressures have led to a fall in Non-Agency RMBS prices. Primary dealer holdings of USD...

    • Structured Finance
  21. UK linkers outperform despite falling inflation expectations

    04 February 2016

    "Despite the UK's monetary policy committee highlighting weak inflation today, inflation-linked gilts have proved to be a strong investment so...

    • Credit Default Swaps (CDS)
  22. Non-Agency RMBS prices fall despite fundamentals

    04 February 2016

    "Despite a steady US housing recovery, recent liquidity pressures have led to a fall in Non-Agency RMBS prices. Primary dealer holdings of USD...

    • Credit Default Swaps (CDS)
  23. UK PMIs show pick-up in speed in January, but cracks appear in economy's resilience

    03 February 2016 Chris Williamson

    "The UK economy exhibited signs of fortitude in the face of multiple headwinds in January, with growth edging higher despite intensifying uncertainty...

    • Purchasing Managers’ Index (PMI)
  24. Stronger services growth offsets manufacturing downturn in China

    03 February 2016 Chris Williamson

    "China's services economy showed signs of renewed life at the start of the year, helping to offset a deepening downturn in the manufacturing...

    • Purchasing Managers’ Index (PMI)
  25. Indian business activity rebounds after flooding

    03 February 2016 Chris Williamson

    "January saw business activity in India rebound after being beset by extensive flooding late last year. The Nikkei PMI surveys, compiled by Markit...

    • Purchasing Managers’ Index (PMI)
  26. Eurozone economy slows at start of the year and price fall intensifies

    03 February 2016 Chris Williamson

    A disappointing eurozone PMI survey for January indicated one of the weakest expansions seen over the past year and raises the prospect of further...

    • Purchasing Managers’ Index (PMI)
  27. Brazil's downturn shows signs of moderating at start of year

    03 February 2016 Chris Williamson

    "Brazil remained in a state of severe economic contraction at the start of the year, though the downturn showed signs of moderating. Markit's...

    • Purchasing Managers’ Index (PMI)
  28. Astute shorts benefit as 'January effect' fades

    02 February 2016 Relte Stephen Schutte

    "Shares with good earnings momentum heading into January were not immune to the recent sell off, but their performance still managed to outperform...

    • Securities Finance
  29. Nigerian bonds rebound from lows

    02 February 2016

    The news that Nigeria was in talks with the World Bank and African Development Bank has been treated well by the market as its bonds are now...

    • Credit Default Swaps (CDS)
  30. Yields up but carmakers emit fewer dividends

    01 February 2016 Relte Stephen Schutte

    "Amid sector divergence, aggregate dividend payments from European car makers are set to skid in 2016 despite some strong underlying performances...

    • Securities Finance
  31. Czech Republic breaks developed world dominance of manufacturing rankings

    01 February 2016 Chris Williamson

    "Global manufacturing remained in the doldrums at the start of the year, beset by downturns in some of the world's largest emerging markets....

    • Purchasing Managers’ Index (PMI)
  32. Markit Non-Agency RMBS - Yield Summary - January 29, 2016

    01 February 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  33. Markit Agency RMBS - Specified Pool Summary - January 2016

    01 February 2016

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  34. Most shorted ahead of earnings

    29 January 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Falling DVD rentals at Outerwall's...

    • Securities Finance
  35. Week Ahead Economic Overview

    29 January 2016 Oliver Kolodseike

    The release of PMI data will provide data watchers with the first available information on global economic trends in 2016 and The Bank of England...

    • Purchasing Managers’ Index (PMI)
  36. US economy slowed sharply in late 2015 with warning lights flashing for 2016

    29 January 2016 Chris Williamson

    "US economic growth slowed sharply in the final quarter of last year, according to the first official estimate. At least some of the weakness...

    • Purchasing Managers’ Index (PMI)
  37. Japan takes rates negative; Mexico beats EM peers

    29 January 2016

    "Credit markets react positively to Bank of Japan's introduction of negative interest rates, while Mexican government bonds outperform emerging...

    • Credit Default Swaps (CDS)
  38. Return of the REIT picker

    28 January 2016 Relte Stephen Schutte

    "Thwarted by interest rate jitters REITs delivered a lacklustre performance in 2015. However, superior selection criteria could have delivered...

    • Securities Finance
  39. European equity trading regains its swagger

    28 January 2016

    "After a great start to the year, European cash equities trading volumes held onto their momentum in a volatile second half, which saw the value...

    • Securities Finance
  40. UK economy sustains steady growth in fourth quarter but faces tough 2016

    28 January 2016 Chris Williamson

    "UK economic growth edged higher in the final quarter of last year, according to the initial official estimate of gross domestic product. However...

    • Purchasing Managers’ Index (PMI)
  41. January volatility ties in with weaker corporate bond liquidity

    28 January 2016

    "Recent volatility has seen a selloff in corporate bonds, with Markit data indicating weaker liquidity metrics. 70%+ of large " and $ corporate...

    • Credit Default Swaps (CDS)
  42. 2015 vintage year for Asian securities lending

    27 January 2016

    "As the world turned to Hong Kong to take of view on a slowing China, 2015 proved to be a banner year for Asia's securities lending market. Revenues...

    • Securities Finance
  43. Uncertainty sees market load up on government bonds

    27 January 2016

    "The market's volatile start to the year has seen investors turn to the safety of government bonds in the US and Europe while corporate bond...

    • Credit Default Swaps (CDS)
  44. US flash PMI signals further growth slowdown at start of year

    26 January 2016 Chris Williamson

    The first survey data of business activity in 2016 indicate an inauspicious start to the year for the US economy. A struggling manufacturing...

    • Purchasing Managers’ Index (PMI)
  45. Investors swap corporate bonds for govies

    26 January 2016

    descriptionDownload full article

    • Credit Default Swaps (CDS)
  46. Markit Non-Agency RMBS - Yield Summary - January 22, 2016

    25 January 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  47. Shale oil spilling over into regional banks

    25 January 2016 Relte Stephen Schutte

    Signs of pressure are emerging in North American Banks who financed the boom in shale oil. Sustained low oil prices are forcing banks to cut...

    • Securities Finance
  48. Risk widens among peripheral European bank credit

    25 January 2016

    "New banking rules have increased the cost of subordinated bank debt, with Europe's weaker institutions coming under investor scrutiny. The Markit...

    • Credit Default Swaps (CDS)
  49. Markit European loan volume survey

    25 January 2016

    "The total trade volumes in the European loan market are slightly down in the final quarter of 2015. Total volumes have dropped to "14.807bn...

    • Credit Default Swaps (CDS)
  50. Most shorted ahead of earnings

    22 January 2016 Relte Stephen Schutte

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Bank of Internet USA, United States...

    • Securities Finance
  51. Week Ahead Economic Overview

    22 January 2016 Oliver Kolodseike

    "In another important week for data watchers, the US Federal Open Market Committee announces its latest monetary policy decision a couple of...

    • Purchasing Managers’ Index (PMI)
  52. Japan flash PMI signals manufacturing resilience at start of year

    22 January 2016 Chris Williamson

    "Japanese manufacturers reported ongoing growth of production, order books, exports and employment at the start of 2016, suggesting the sector...

    • Purchasing Managers’ Index (PMI)
  53. ECB steps up dovish rhetoric; financial credit reeling

    22 January 2016

    "Credit markets reacted positively to fresh dovish ECB rhetoric, while US and European banks continue to see credit risk soar. Italian and Spanish..."...

    • Credit Default Swaps (CDS)
  54. Markit Non-Agency RMBS - Yield Summary - January 15, 2016

    21 January 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  55. The big shorts of the faltering FTSE 100

    21 January 2016 Relte Stephen Schutte

    "UK short sellers are showing no signs of slowing down in the current market, yet investors relying on publically disclosed short positions are...

    • Securities Finance
  56. Low beta bulls vindicated

    21 January 2016

    "High beta shares have felt the brunt of the recent market slump, driving investors to embrace low beta ETFs with renewed vigour. Highest beta...

    • Securities Finance
  57. Global fixed income focus - December 2015

    21 January 2016 Chris Fenske

    "December proved to be an eventful month as the Federal Reserve raised interest rates for the first time since 2006, ending a zero rate policy...

    • Credit Default Swaps (CDS)
  58. Chinese corporate bonds on edge amid market turmoil

    21 January 2016

    "Further market volatility this year has been testing China's vast corporate bond market, with some areas proving more resilient than others....

    • Credit Default Swaps (CDS)
  59. Overcoming fragmentation in the FX market

    20 January 2016 Matthew Hill

    Over the last decade fragmentation has become the defining characteristic in the global FX market. While most of the focus has been on fragmentation...

  60. European volatility surges in New Year

    20 January 2016

    Volatility has greeted equity investors in the New Year and Europe is no exception; yet a closer look at the data shows that not all of the region's...

    • Securities Finance
  61. Leverage tightening the noose on US oil firms

    18 January 2016 Relte Stephen Schutte

    Evaporating credit lines are set to finally squeeze US energy firms as oil prices break through $30 a barrel and US banks sound the alarm on...

    • Securities Finance
  62. Global volatility shifts CDS-bond basis more positive

    18 January 2016

    Weak commodity and energy prices continue to drive a positive basis among single name European credits CDS spreads have been more reactive to...

    • Credit Default Swaps (CDS)
  63. Most shorted ahead of earnings

    15 January 2016 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers return to Netflix...

    • Securities Finance
  64. Investors position for less volatility

    15 January 2016 Relte Stephen Schutte

    "Volatility has returned in earnest in 2016, encouraging investors to rush to volatility ETFs. But a closer look at fund flows reveals that investors...

    • Securities Finance
  65. Treasuries plunge below 2%; BHP succumbs to oil rout

    15 January 2016

    "Continued market volatility this week has seen increased demand for risk free assets, while an asset write off has sent BHP Billiton's credit...

    • Credit Default Swaps (CDS)
  66. HFT is cheating?

    14 January 2016 David Weisberger

    The flawed argument that the market is rigged by high frequency trading (HFT) firms is omnipresent in the media. Those who criticize HFT would...

  67. Short sellers hold steady after banner 2015

    14 January 2016

    "Appetite to sell stocks short has showed no signs of slowing into the new year, with demand to borrow shares up by over 14% in the last 12 months....

    • Securities Finance
  68. Week Ahead Economic Overview

    14 January 2016 Phil Smith

    China will remain in the spotlight as economic growth looks set to slide to the weakest since the global financial crisis. The week also sees...

    • Purchasing Managers’ Index (PMI)
  69. Investors flee high yield bonds as risk escalates

    14 January 2016

    "Despite remaining relatively calm amid the equity price volatility in the first few days of 2016, US high yield bond risk has now started to...

    • Credit Default Swaps (CDS)
  70. Financials is fastest-growing area of global economy in December

    13 January 2016 Philip Leake

    The final batch of Markit’s detailed global sector PMITM data for 2015 showed that finance, food & drink, pharmaceuticals and hi-tech services...

    • Purchasing Managers’ Index (PMI)
  71. GILTS surge to top of global return table

    13 January 2016

    Lukewarm economic data has seen forecasters push back expectations of a rate rise from the Bank of England which has in turn seen pound denominated...

    • Credit Default Swaps (CDS)
  72. New dawn for gold miners in 2016?

    12 January 2016 Relte Stephen Schutte

    Gold's allure may be back among investors after years of being shunned and $50bn of outflows from gold ETFs. Fresh turmoil in markets have seen...

    • Securities Finance
  73. Dividends challenged heading into 2016

    12 January 2016

    "The economic developments that rocked global markets last year are filtering through to dividend policies in 2016, putting a damper on payment...

    • Dividends
  74. UK manufacturing output falls for second month running

    12 January 2016 Chris Williamson

    "UK industry looks to have once again failed to grow in the closing quarter of last year, ending a tough year for manufacturers and energy companies...."...

    • Purchasing Managers’ Index (PMI)
  75. New indicators provide deeper global macro insights

    12 January 2016 Chris Williamson

    "The New Year sees the launch of new economic indicators designed to provide fresh insights into global economic trends. Markit, on behalf of...

    • Purchasing Managers’ Index (PMI)
  76. Noble downgrade turns spotlight onto who may be next

    12 January 2016

    "After Noble's credit rating was pushed to junk status last week, Markit reveals the names which may be next in line for a potential downgrade...

    • Credit Default Swaps (CDS)
  77. Markit Non-Agency RMBS - Yield Summary - January 8, 2016

    11 January 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  78. Global economy ends 2015 on soft note amid emerging market gloom

    11 January 2016 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  79. US treasury returns boosted despite fed hike

    11 January 2016

    "Ongoing market jitters has seen US treasury yields decline as investors move towards safer assets, boosting bond returns in the process. 10-yr...

    • Credit Default Swaps (CDS)
  80. Most shorted ahead of earnings

    08 January 2016 Relte Stephen Schutte

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. US industrial supplies firm Fastenal...

    • Securities Finance
  81. Week Ahead Economic Overview

    08 January 2016 Oliver Kolodseike

    "After a turbulent start to the year for investors around the globe, the week sees important data that could further move stock markets. In the...

    • Purchasing Managers’ Index (PMI)
  82. UK recruitment industry reports further slowing of salary growth in December

    08 January 2016 Jack A. Kennedy

    "Pay pressures in the UK labour market eased at the end of 2015. The KPMG/REC Report on Jobs, published today, signalled that average starting...

    • Purchasing Managers’ Index (PMI)
  83. Chinese stock market panic jolts global credit

    08 January 2016

    "Weak manufacturing data and further steps to devalue the Chinese yuan saw global credit indices jump to their widest levels since last October...

    • Credit Default Swaps (CDS)
  84. Syndicated loans: Achieving a realtime view of risk

    07 January 2016

    With higher volatility in the loan market and pressure on margins, asset managers need to eliminate the information and process gaps that lead...

  85. Fog in Spain as Italy kicks it up a gear

    07 January 2016 Relte Stephen Schutte

    Strong PMI data indicates that Eurozone economic recovery is starting to take hold led by a resurgent Italian economy but its southern Spanish...

    • Securities Finance
  86. Middle Eastern credit risk surges

    07 January 2016

    The rising tension between Saudi Arabia and Iran and has exasperated an already tricky situation for the region's bondholders. Saudi Arabian...

    • Credit Default Swaps (CDS)
  87. US gun shorts retreat as sales surge

    06 January 2016 Relte Stephen Schutte

    "The prospect of increased gun control in the US has not fazed equity investors, with shares in the two listed gun makers hovering near recent...

    • Securities Finance
  88. Following the ETF flows

    06 January 2016 Relte Stephen Schutte

    "Crossing $3trn in global AUM at the close of 2015, ETFs continue to garner the support of investors however volatility in emerging markets and...

    • Securities Finance
  89. Spanish firms see strong growth pre-election

    06 January 2016 Andrew Harker

    "According to the latest Markit PMI data for Spain, manufacturing firms and service providers alike continued to record sharp increases in output...

    • Purchasing Managers’ Index (PMI)
  90. Robust December UK PMIs end solid fourth quarter, but optimism nears three-year low

    06 January 2016 Chris Williamson

    "The UK economy looks to have expanded by 0.5% in the final quarter of last year, according to PMI business survey data. Sustained robust growth...

    • Purchasing Managers’ Index (PMI)
  91. Global PMI dips in December to signal weakest quarterly growth for a year

    06 January 2016 Chris Williamson

    "The global economy lost some growth momentum in December, according to survey data which showed rates of expansion slowing in both manufacturing...

    • Purchasing Managers’ Index (PMI)
  92. Eurozone sees best quarter for 4 ' years despite stalling French economy

    06 January 2016 Chris Williamson

    The eurozone economy starts 2016 on a solid footing and well placed to enjoy a year of robust growth. The pace of expansion in business activity...

    • Purchasing Managers’ Index (PMI)
  93. Leveraged loans end 2015 in the red

    05 January 2016

    Renewed concerns about commodity pricesand turmoil in the US high yield bond market drove leveraged loan returns to end the year on a sour note....

    • Credit Default Swaps (CDS)
  94. Markit Non-Agency RMBS - Yield Summary - December 31, 2015

    04 January 2016

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  95. Chinese ‘circuit break’ sends FTSE, S&P lower

    04 January 2016 Relte Stephen Schutte

    Chinese markets collapsed by 7% on the first day of trading in 2016, sending European stocks sharply lower. Short sellers however look to have...

    • Securities Finance
  96. Markit Agency RMBS - Specified Pool Summary - December 2015

    04 January 2016

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  97. Vietnam PMI - 2015 review

    04 January 2016 Andrew Harker

    "At the end of December the General Statistics Office of Vietnam announced that GDP rose 6.7% in 2015, above the target of 6.2% and bringing...

    • Purchasing Managers’ Index (PMI)
  98. Global manufacturing subdued by steepest emerging-Asia downturn on record

    04 January 2016 Chris Williamson

    "Global manufacturing growth slowed at the end of 2015, ending the worst year since 2012. European countries led the growth rankings, as emerging...

    • Purchasing Managers’ Index (PMI)
  99. The rise of equity evergreen repos

    18 December 2015

    Tri party repo market participant are increasingly adopting a funding structure that enables them greater operational efficiencies to term out...

    • Securities Finance
  100. Most shorted heading into 2016

    18 December 2015

    Our final commentary note of the year looks at the companies which see the highest amount of short interest heading into 2016. The current 20...

    • Securities Finance
  101. Week Ahead Economic Overview

    18 December 2015 Oliver Kolodseike

    "Following the Fed's decision to raise interest rates for the first time in nearly a decade, the US sees the release of revised third quarter...

    • Purchasing Managers’ Index (PMI)
  102. US flash PMIs show economic growth rate faltering at year end

    18 December 2015 Chris Williamson

    "The first US interest rate hike for almost a decade comes in a month during which the pace of economic growth showed signs of faltering, as...

    • Purchasing Managers’ Index (PMI)
  103. Hello, it's me... (Mr. Lewis)

    17 December 2015 David Weisberger

    "'Blimey, this redistribution of wealth is trickier than I thought.' - D. Moore Michael Lewis's letter to the SEC on the IEX exchange application...

  104. Promotions help drive November UK retail sales surge

    17 December 2015 Chris Williamson

    "UK retail sales surged as shoppers took advantage of 'Black Friday' discounts. Sales were up 1.7% in November, smashing expectations of a mere...

    • Purchasing Managers’ Index (PMI)
  105. Risk appetite returns as Fed takes historic step

    17 December 2015

    Credit markets reacted buoyantly as the US Fed took the monumental step in raising interest rates for the first time in nine years. The iBoxx...

    • Credit Default Swaps (CDS)
  106. High yield bonds resilient despite selloff

    17 December 2015

    "High yield bond returns have been buffeted by the latest drama in the energy and basic resources, but a closer look reveals that both the asset...

    • Credit Default Swaps (CDS)
  107. Top European and Asian shorts of 2015

    16 December 2015

    "Following on from Tuesday's look at the best timed North American shorts of the year, we review the positions which paid the most handsomely...

    • Securities Finance
  108. US manufacturing shows signs of stalling at year end

    16 December 2015 Chris Williamson

    "Just as the Fed looks set to hike interest rates for the first time since 2006, the manufacturing sector shows signs of stalling. The flash...

    • Purchasing Managers’ Index (PMI)
  109. UK pay growth fall gives policymakers room to hold interest rates low

    16 December 2015 Chris Williamson

    "The UK labour market remained something of an enigma in October. Unemployment fell to a seven-year low but pay growth also fell, once again...

    • Purchasing Managers’ Index (PMI)
  110. Japan flash PMI signals steady manufacturing upturn at year end

    16 December 2015 Chris Williamson

    "Japanese manufacturers enjoyed a solid end to the year, with activity growing at a rate close to November's 20-month high. The Nikkei Manufacturing...

    • Purchasing Managers’ Index (PMI)
  111. Eurozone economy enjoys best quarter for 4 ' years

    16 December 2015 Chris Williamson

    "The eurozone economy enjoyed a comfortably solid end to 2015, though policymakers are likely to remain disappointed by the relatively modest...

    • Purchasing Managers’ Index (PMI)
  112. Fixed income investors dump US ahead of Fed decision

    16 December 2015

    "Ahead of the Fed's expected first rate hike in nine years, fixed income ETF investors have been taking money off the table, with US high yield...

    • Credit Default Swaps (CDS)
  113. Top North American Shorts of 2015

    15 December 2015

    Markit reveals the best performing short positions in what has proven to be a fruitful year for short sellers. Companies targeted by short sellers...

    • Securities Finance
  114. Global fixed income focus - November 2015

    15 December 2015 Chris Fenske

    Markit has published the November 2015 edition of the Global fixed income focus. The publication includes a monthly market update and special...

    • Credit Default Swaps (CDS)
  115. Eurozone factory output shows solid 0.6% gain at start of fourth quarter

    14 December 2015 Chris Williamson

    "Euro area factories enjoyed a good start to the fourth quarter, with output rising 0.6% according to official data. Looking through the volatile...

    • Purchasing Managers’ Index (PMI)
  116. Most shorted ahead of earnings

    11 December 2015 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week and names at risk of a short squeeze....

    • Securities Finance
  117. European bears in QE-induced hibernation

    11 December 2015

    Short interest across the Euro Stoxx 50 index stands near the yearly lows despite a surge in demand to borrow across global equity markets. 1.1%...

    • Securities Finance
  118. US retail sales pick up ahead of Fed meeting

    11 December 2015 Chris Williamson

    "November saw a marked improvement in US consumer spending, tilting the odds further towards the Fed hiking rates next week, something which...

    • Purchasing Managers’ Index (PMI)
  119. UK construction output revisions retell history but add to Q4 growth hopes

    11 December 2015 Chris Williamson

    "UK construction saw a return to growth at the start of the fourth quarter, according to official estimates, though the pace of expansion remains..."...

    • Purchasing Managers’ Index (PMI)
  120. South Africa credit risk soars; loans continue slide

    11 December 2015

    "South Africa's economic woes deepened this week on the ousting of the finance minister, while leveraged loans have continued their downward...

    • Credit Default Swaps (CDS)
  121. Markit Agency RMBS - Specified Pool Summary - November 2015

    10 December 2015

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  122. Week Ahead Economic Overview

    10 December 2015 Oliver Kolodseike

    "All eyes will be on the Federal Reserve Bank in a week that is likely to see US interest rates rise for the first time since 2006. Meanwhile...

    • Purchasing Managers’ Index (PMI)
  123. UK trade deficit widest on record once oil and volatile items are stripped out

    10 December 2015 Chris Williamson

    "The UK's ongoing disappointing trade performance is highlighted by the latest official data. If oil and other volatile items are excluded, the...

    • Purchasing Managers’ Index (PMI)
  124. Bank of England holds interest rates awaiting stronger pay growth

    10 December 2015 Chris Williamson

    "The Bank of England left interest rates on hold at their record low of 0.5% at their December MPC meeting. Once again, only one of the nine...

    • Purchasing Managers’ Index (PMI)
  125. IG oil proves winning bet in commodities rout

    10 December 2015

    The commodities slump has hurt resources bond returns on both ends of the quality spectrum but highly rated oil and gas bonds have proven more...

    • Credit Default Swaps (CDS)
  126. Key factors driving equities in 2015

    09 December 2015 Relte Stephen Schutte

    "Equities are set to post some of their most disappointing returns for several years, yet the disappointing headline number hides wide return...

    • Securities Finance
  127. Japan recession revised away as economy grows in third quarter

    09 December 2015 Chris Williamson

    Japan's recent recession has been revised away after new data show the economy to have grown in the third quarter. The revision confirms our...

    • Purchasing Managers’ Index (PMI)
  128. Global growth strengthens as emerging markets stabilise

    09 December 2015 Chris Williamson

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  129. Distressed bonds multiply in turbulent market

    09 December 2015

    "The ratio of distressed US $HY bond's has doubled over the past year, just as the Fed looks to raise interest rates and commodity prices hit...

    • Credit Default Swaps (CDS)
  130. November ETP launch review

    08 December 2015

    Hedging fever reaches new highs This report aggregates newly launched funds in November and highlights the performance of the funds launched...

    • Exchange-Traded Funds (ETFs)
  131. Barbie on short seller's Christmas list

    08 December 2015

    "Barbie has fallen out of favour in recent years, helping Mattel's shares become the hot toymaker short heading into the final weeks of the holiday...

    • Securities Finance
  132. Review of fixed income markets in 2015

    08 December 2015

    "As 2015 draws to a close, we highlight some of the key takeaways from credit and fixed income markets across the year. IG corporate bond credit...

    • Credit Default Swaps (CDS)
  133. Interest rate hedging falls out of favour

    08 December 2015

    "Investors have been fleeing interest rate hedged ETFs in recent weeks, despite the fact that the bond market is increasingly gearing up for...

    • Credit Default Swaps (CDS)
  134. UK recruitment activity continues to pick up pace in November

    07 December 2015 Jack A. Kennedy

    Latest evidence from Markit's recruitment industry survey signalled a further strengthening of the UK's labour market in November. The KPMG/REC...

    • Purchasing Managers’ Index (PMI)
  135. Most shorted ahead of earnings

    04 December 2015 Relte Stephen Schutte

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Straight Path is the most shorted...

    • Securities Finance
  136. Week Ahead Economic Overview

    04 December 2015 Oliver Kolodseike

    "The week sees revised third quarter gross domestic product numbers for the eurozone, Japan and Russia, while retail sales and consumer sentiment...

    • Purchasing Managers’ Index (PMI)
  137. US employment surge gives green light for December rate rise

    04 December 2015 Chris Williamson

    Better-than-expected news on the buoyancy of the US labour market gives policymakers the clear go-ahead to hike interest rates for the first...

    • Purchasing Managers’ Index (PMI)
  138. ECB underwhelms; Latam credit edgy before rate rise

    04 December 2015

    "Further monetary stimulus from the ECB fails to meet market expectations, while rising borrowing costs in the US could spell trouble for EM...

    • Credit Default Swaps (CDS)
  139. Chaebols embrace South Korean dividends

    03 December 2015 Relte Stephen Schutte

    "Incentivised by newly introduced taxes, South Korean conglomerates are expected to deliver record breaking levels of dividends across all sectors....

    • Dividends
  140. UK PMI surveys signal solid growth but stagnant prices in fourth quarter

    03 December 2015 Chris Williamson

    "A welcome upturn in service sector expansion helped counter slower growth in manufacturing and construction in November, suggesting the UK continues...

    • Purchasing Managers’ Index (PMI)
  141. Developed world growth picks up alongside steadier emerging markets

    03 December 2015 Chris Williamson

    "The global economy grew at a slightly faster rate in November, led by upturns in the US, UK, Japan and the eurozone, which all saw either faster...

    • Purchasing Managers’ Index (PMI)
  142. China PMI surveys signal return to growth in November

    03 December 2015 Chris Williamson

    "China's economy expanded, albeit only modestly, for the first time in four months, according to November's Caixin PMI surveys, heralding a welcome...

    • Purchasing Managers’ Index (PMI)
  143. Brazil PMI points to recession extending into fourth quarter

    03 December 2015 Chris Williamson

    "Official data released on 1st December showed Brazil's recession extending into the third quarter, and survey data are already indicating that...

    • Purchasing Managers’ Index (PMI)
  144. ETF investors fled ahead of Draghi disappointment

    03 December 2015

    "Today's ECB announcement saw euro sovereign bonds sell off significantly, but European ETF investors had already been divesting away from the...

    • Credit Default Swaps (CDS)
  145. IEX Stock Exchange

    02 December 2015 David Weisberger

    "What's the best way to get a limit order executed on the NYSE? Cancel it. In the history of stock markets, the IEX story is a unique one. A...

  146. Bears circle Swatch and Fitbit in battle for wrists

    02 December 2015 Relte Stephen Schutte

    "Wearables continue to gather momentum this festive season with Fitbit receiving a bullish upgrade from analysts, but growing short sentiment...

    • Securities Finance
  147. Puerto Rico avoids debt default, for now

    02 December 2015

    "The beleaguered US commonwealth narrowly escaped defaulting on its Government Development Bank (GDB) bonds yesterday, but with more senior general..."...

    • Credit Default Swaps (CDS)
  148. Bearish steel sentiment steady as price tumbles

    01 December 2015

    "Falling metal prices have seen steel firms caught in the crosshairs of short sellers throughout 2015, although bearish sentiment has begun to...

    • Securities Finance
  149. Eurozone economies dominate global manufacturing growth rankings

    01 December 2015 Chris Williamson

    "Global manufacturing remained stuck firmly in the slow lane in November, hindered by slumping demand in many key emerging markets. The J.P.Morgan...

    • Purchasing Managers’ Index (PMI)
  150. Chinese production stabilises as export wins help offset weakening domestic demand

    01 December 2015 Chris Williamson

    "China's manufacturing economy contracted for the eleventh time in the past 12 months in November, according to the Markit-compiled Caixin PMI...

    • Purchasing Managers’ Index (PMI)
  151. Asian manufacturing remains mired in stagnation in November

    01 December 2015 Chris Williamson

    "Manufacturing in Asia more or less stagnated for a second successive month in November, though the steady picture represents an improvement...

    • Purchasing Managers’ Index (PMI)
  152. Shorts dim the lights on solar

    30 November 2015

    "As leaders meet this week at COP21talks in Paris to negotiate new emission reduction measures, struggling solar companies are becoming victims...

    • Securities Finance
  153. Retail bonds pressured heading into December

    30 November 2015

    Dollar-denominated retail bonds have seen a rise in credit risk in the weeks leading up to the crucial December holiday shopping season. Macy's...

    • Credit Default Swaps (CDS)
  154. Most shorted ahead of earnings

    27 November 2015

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Significant short interest remains...

    • Securities Finance
  155. Week Ahead Economic Overview

    27 November 2015

    PMI results are released worldwide during the week and will provide data watchers with the first available information on global economic trends...

    • Purchasing Managers’ Index (PMI)
  156. Robust domestic demand drives solid UK economic growth in third quarter

    27 November 2015

    "The latest official data showed that the UK economy continued to grow at a reasonably strong pace in the autumn, with increasingly robust domestic...

    • Purchasing Managers’ Index (PMI)
  157. Smart money trades up; Chesapeake on the brink

    27 November 2015

    "Investment grade and high yield US corporate bonds have seen credit risk diverge over the past few months, while the oil & gas sector may see...

    • Credit Default Swaps (CDS)
  158. European banks lag US peers on dividends

    26 November 2015

    "US banks have bounced back from the post-crash lows, while their European peers are still struggling to return to pre-crisis payout levels....

    • Securities Finance
  159. Opposing Euro/US policy and the UK conundrum

    26 November 2015

    "UK Gilts yield have largely tracked their US peers over the last three years, but recent dovish tones from UK policy makers has seen that trend...

    • Credit Default Swaps (CDS)
  160. Asian short selling jumps to three year high

    25 November 2015

    "Demand to borrow Asian stocks surged in the wake of the recent market volatility. While short sellers have since pulled back slightly, the current...

    • Securities Finance
  161. November flash PMIs signal upturn in US growth and solid hiring

    25 November 2015

    "The US economy is showing further robust economic growth in the fourth quarter, with the pace of expansion picking up in November. The faster...

    • Purchasing Managers’ Index (PMI)
  162. Financials go into 2016 on improving foundations

    25 November 2015

    "Bank credit spreads have tightened on the back of lower than expected TLAC requirements, with the financial sector looking sturdier than non-financials..."...

    • Credit Default Swaps (CDS)
  163. ETF currency hedges hit the sweet spot

    24 November 2015

    ECB and FED policy divergence has seen investors increasingly employ currency hedged ETFs to mitigate the impact of currency swings on investment...

    • Securities Finance
  164. Curtain being pulled across the coal face

    24 November 2015

    "Energy utilities, prised for their captive consumption base and predictable cash flows face upheaval as pricing dynamics and environmental progress...

    • Securities Finance
  165. Japan flash manufacturing PMI hits 20-month high in November

    24 November 2015

    Japanese goods producers are on course for their best quarter since the start of 2014. The Nikkei Manufacturing PMI hit a 20-month high of 52.8...

    • Purchasing Managers’ Index (PMI)
  166. Russian credit withstands crisis

    24 November 2015

    Military tension with Turkey has sent Russia's CDS spread wider this morning but Russia's apparent rapprochement with the west has seen investors...

    • Credit Default Swaps (CDS)
  167. Eurozone growth picks up but price fall adds to odds of further ECB stimulus

    23 November 2015

    "Eurozone businesses reported the fastest rates of growth in business activity and employment for four-and-a-half years in November, but the...

    • Purchasing Managers’ Index (PMI)
  168. CDS implied and credit agency ratings diverge

    23 November 2015

    "There are currently 21 investment grade credits with CDS spreads implying junk status, while high yield North American consumer driven credits...

    • Credit Default Swaps (CDS)
  169. Most shorted ahead of earnings

    20 November 2015

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week, plus names identified at risk of...

    • Securities Finance
  170. Week Ahead Economic Overview

    20 November 2015

    "The release of flash PMI results for Japan, the eurozone and the US will provide data watchers with the first available information on economic...

    • Purchasing Managers’ Index (PMI)
  171. Ukrainian bonds erase losses; EM dollar credit fragile

    20 November 2015

    "Ukraine's recovery continues as Russia eases its debt repayment stance, while the latest Fed minutes point towards a December rate hike. Ukraine's...

    • Credit Default Swaps (CDS)
  172. Bears take on unicorns

    19 November 2015

    "Short interest in firms which recently IPOd with a market value greater than $1bn has surged since the start of the year, with tech firms the...

  173. UK retail sales suffer payback after September surge

    19 November 2015

    "UK retail sales fell slightly more than expected in October, but the decline looks to be a one-off and masks a reassuringly solid underlying...

    • Purchasing Managers’ Index (PMI)
  174. Global fixed income focus - October 2015

    19 November 2015

    Markit has published the October 2015 edition of the Global fixed income focus. The publication includes a monthly market update and special...

    • Credit Default Swaps (CDS)
  175. S&P 500 (narrowly) breaks even for year

    18 November 2015

    Price momentum has proven pivotal in 2015 as a few key stocks have held the S&P 500 index above water. The third of US shares trading closest...

    • Securities Finance
  176. Thai bond returns avoid broader Asean downturn

    18 November 2015

    "Sovereign CDS spreads have fallen across the Asean region over the past two months, but only Thailand has seen its government bond returns remain...

    • Credit Default Swaps (CDS)
  177. Rolls-Royce caught in turbulence

    17 November 2015

    "Investors punished Rolls-Royce last week while short sellers banked profits, highlighting the uncertainty faced by the aerospace industry as...

    • Securities Finance
  178. US inflation shows signs of edging higher

    17 November 2015

    "US headline inflation edged higher to 0.2% in October after the flat year-on-year reading seen in September, according to official data. Much...

    • Purchasing Managers’ Index (PMI)
  179. UK sees sustained deflation for first time

    17 November 2015

    "The UK's Consumer Price Index (CPI) remained in negative territory in October, helping shore up the Bank of England's belief that there's no...

    • Purchasing Managers’ Index (PMI)
  180. Official data confirm US manufacturing rebound at start of fourth quarter

    17 November 2015

    "US industrial production fell 0.2% for a second successive month in October, but the decline clouds a more upbeat picture of the health of the...

    • Purchasing Managers’ Index (PMI)
  181. US investors double down on inflation

    17 November 2015

    TIPS returns since the start of the year have been particularly disappointing; but this has not precluded investors from piling into ETFs tracking...

    • Credit Default Swaps (CDS)
  182. Retailers struggle ahead of Black Friday

    16 November 2015

    Last week's disappointing spending numbers and earnings updates took a chunk out of retail stocks; something which short sellers were well positioned...

    • Securities Finance
  183. Recession in Japan signalled despite fastest nominal GDP growth for five years

    16 November 2015

    Headline data showing Japan to have fallen back into recession in the third quarter give a misleading view of the health of the economy. A 0.2%...

    • Purchasing Managers’ Index (PMI)
  184. Micro dominates monthly CDS-bond basis moves

    16 November 2015

    "A turn in risk sentiment over the past month has seen individual risks dominate fluctuations in the CDS bond basis. Over the past month, positive...

    • Credit Default Swaps (CDS)
  185. Most Shorted ahead of earnings

    13 November 2015

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week, plus names identified as at risk...

    • Securities Finance
  186. Japanese dividends attract foreign capital

    13 November 2015

    "Japan's efforts to lure foreign investors to equity markets have thus far proven successful; however, ETF flows have stalled after a 15% market...

    • Securities Finance
  187. Week Ahead Economic Overview

    13 November 2015

    "In the US, the Federal Reserve will be watching inflation and industrial output numbers for more information on the health of the US economy....

    • Purchasing Managers’ Index (PMI)
  188. German economy grows at moderate pace in third quarter

    13 November 2015

    "The German economy continued to grow at a moderate pace in the third quarter, according to data from Statistisches Bundesamt Destatis. Markit's...

    • Purchasing Managers’ Index (PMI)
  189. Eurozone economy grows 0.3% in the third quarter

    13 November 2015

    "The euro area's pace of economic growth lost a little momentum in the third quarter, despite the additional central bank stimulus seen so far...

    • Purchasing Managers’ Index (PMI)
  190. Railroad bonds avoid equity woes

    13 November 2015

    "Railroad shares have underperformed the rest of the transportation universe, but their bonds have so far proved resilient to the downturn. The...

    • Credit Default Swaps (CDS)
  191. Oil stumps credit rally; Rolls Royce credit surges

    13 November 2015

    "Another setback in oil prices is affecting US HY and inflation expectations ahead of December's expected Fed rate hike, while Rolls Royce gets...

    • Credit Default Swaps (CDS)
  192. Eurozone industrial output up 1.7% on a year ago despite September drop

    12 November 2015

    "Industrial production in the euro area fell 0.3% in September, according to official data, piling additional pressure on policymakers to inject...

    • Purchasing Managers’ Index (PMI)
  193. Indian credit outperforms Brics, but politics concern investors

    11 November 2015

    "India has been a bright spot in emerging markets over the past two years, but political tensions look set to derail progress. Indian government...

    • Credit Default Swaps (CDS)
  194. ETF stock lending revenues surge on volatility

    11 November 2015

    "ETF securities lending revenues for 2015 to date are up by a quarter year on year, despite flat demand to borrow. The securities lending industry...

    • Securities Finance
  195. UK pay growth dips despite tightest job market since 2008

    11 November 2015

    The UK labour market continued to tighten in September as unemployment fell more than expected and employment rose sharply. Pay growth remained......

    • Purchasing Managers’ Index (PMI)
  196. Fed rate hike draws closer as global growth ticks higher

    11 November 2015

    "The JPMorgan Global PMI", compiled by Markit, regained some poise after slipping to a nine-month low in September, rising to 53.4. However...

    • Purchasing Managers’ Index (PMI)
  197. Beaten down stocks surge

    10 November 2015

    "A review of key factors driving returns across markets during October, which saw the S&P 500 surge over 8% while investors pile into the worst...

    • Securities Finance
  198. Global growth edges higher at start of fourth quarter

    10 November 2015 Chris Williamson

    "Global economic growth ticked higher in October, with robust expansions in the US, UK, eurozone and Japan accompanied by an improved performance...

    • Purchasing Managers’ Index (PMI)
  199. Portugal risks remain isolated among periphery

    10 November 2015

    "A populist political coalition looks set to derail Portugal's economic plans, but risks so far remain muted and isolated. Portugal's 10-yr bond...

    • Credit Default Swaps (CDS)
  200. Investors continue to flee healthcare

    09 November 2015

    Investor sentiment towards the healthcare sector continues to sour despite the fact that the sector has come out on top of the October Markit...

    • Securities Finance
  201. Most shorted ahead of earnings

    06 November 2015

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Strong demand to short Rex Energy...

    • Securities Finance
  202. Week Ahead Economic Overview

    06 November 2015

    "Important data releases in the US, UK, eurozone and China will be eyed for steers on central bank policymaking. Expectations of the European...

    • Purchasing Managers’ Index (PMI)
  203. Outstanding jobs report clears path for December hike

    06 November 2015

    "A better than expected jobs reports leaves the door wide open for the Fed to move in December, while in corporate credit, Glencore and VW decouple...."...

    • Credit Default Swaps (CDS)
  204. Looking forward pays dividends

    05 November 2015

    "High trailing dividend yields can lure investors towards stocks that are seemingly paying above the norm. But selection based on forward yields...

    • Dividends
  205. Investors poised for diverging EU/US policies

    05 November 2015

    "Investors have opted for European government bonds in favour of US treasuries in anticipation of diverging monetary policies, which may pose...

    • Credit Default Swaps (CDS)
  206. October ETP launch review

    04 November 2015

    Large issuers focus on Japanese equities with a currency hedge twist This report aggregates newly launched funds in October and highlights the...

    • Exchange-Traded Funds (ETFs)
  207. PMI surveys show UK economy picking up speed again at start of fourth quarter

    04 November 2015

    "The rate of economic growth rebounded in October, rising from the near two-and-a-half year low seen at the end of the third quarter, according...

    • Purchasing Managers’ Index (PMI)
  208. Emerging market credit stages comeback

    04 November 2015

    Fears of a sustained global slowdown have alleviated over the past month with emerging market credit quick to react. Markit CDX EM index spread...

    • Credit Default Swaps (CDS)
  209. Commodities continue to drag down UK miners

    03 November 2015

    "Large UK miners continue to suffer as weak commodity prices persist, attracting short sellers. However, PMI data indicates a slowing rate of...

    • Securities Finance
  210. Signs of global manufacturing slowdown bottoming out as PMI hits seven-month high

    03 November 2015

    "Global manufacturing started the fourth quarter showing tentative signs of renewed life. Global factory output The JPMorgan Global Manufacturing...

    • Purchasing Managers’ Index (PMI)
  211. Offshore RMB bonds rally post summer volatility

    03 November 2015

    "After seeing risk escalate in Aug/Sep, offshore RMB bonds have since rallied, but bond yields have yet to return to mid year levels. Offshore...

    • Credit Default Swaps (CDS)
  212. Markit Non-Agency RMBS - Yield Summary - October 30, 2015

    02 November 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  213. Markit Agency RMBS - Specified Pool Summary - October 2015

    02 November 2015

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  214. Short sellers' red October

    02 November 2015

    "Markets turned against short sellers last month as US equities rallied, lifting a number of high-in-demand names and reversing a five month...

    • Securities Finance
  215. China manufacturing PMI sees largest rise for 16 months as exports stabilise

    02 November 2015

    "China's manufacturing economy started the fourth quarter on a firmer footing, with the sector still in decline but the rate of contraction easing...

    • Purchasing Managers’ Index (PMI)
  216. Markit European loan volume survey

    30 October 2015

    Total trade volumes in the European loan market have risen slightly in the third quarter of 2015. Total volumes have moved to €15.509bn, up 5.67%...

    • Credit Default Swaps (CDS)
  217. Most shorted ahead of earnings

    30 October 2015

    "A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week, plus names identified as being...

    • Securities Finance
  218. Risk falls before Turkish election; Puerto Rico fluctuates

    30 October 2015

    This week saw Turkish CDS spreads improve in the run-up to this Sunday's election while Puerto Rican bonds fluctuated with the debate rages on...

    • Credit Default Swaps (CDS)
  219. Only For Super Nerdy Eyes

    29 October 2015 David Weisberger

    "At the time, I actually didn't know - but I do now. "Dave, it's always fun talking to you, because as smart as you are, you are sooo naive....

  220. Herding unicorn shorts

    29 October 2015

    "Start-ups and stalwart tech stocks have shown signs of weakness recently, trimming aggressive growth trajectories and staff while short sellers...

    • Securities Finance
  221. Week Ahead Economic Overview

    29 October 2015

    "Worldwide PMI results will provide data watchers with the first available information on economic trends in the closing quarter of 2015. In...

    • Purchasing Managers’ Index (PMI)
  222. Fed to focus on signs of further slowdown as US economic growth slips to 1.5% in Q3

    29 October 2015

    "As expected, the pace of US economic growth slowed sharply in the third quarter, according to the first official estimate of gross domestic...

    • Purchasing Managers’ Index (PMI)
  223. Fed fails to halt US corporate bond appeal

    29 October 2015

    "Yesterday's FOMC meeting saw bonds retreat, but investors continued their corporate bond binge. Markit iBoxx $ Treasuries fell by 30bps as its...

    • Credit Default Swaps (CDS)
  224. UK bears retreat in Q4

    28 October 2015

    "UK shares have been on a tear so far this quarter, which has prompted short sellers to trim their positions from the recent highs seen at the...

    • Securities Finance
  225. Using US PMI data to compile more accurate GDP estimates

    28 October 2015

    There is growing evidence to suggest that policymakers were deterred from raising interest rates earlier in the year due to misleading signals...

    • Purchasing Managers’ Index (PMI)
  226. UK corporate bond liquidity running thin

    28 October 2015

    "Markit's bond pricing service suggests liquidity in the UK bond market is significantly lower relative to its European and US peers, with global...

    • Credit Default Swaps (CDS)
  227. The Canadian property short

    27 October 2015

    "Canada's property market has been supported by record low interest rates fuelling lending to overextended buyers, but a deteriorating economic...

    • Securities Finance
  228. UK economic growth slows to 0.5% in third quarter

    27 October 2015

    "The UK economy lost growth momentum in the third quarter, weakening more than expected according to market expectations but in line with the...

    • Purchasing Managers’ Index (PMI)
  229. Egyptian credit risk climbs in earnest

    27 October 2015

    The country's current account chasm and freefalling currency has seen the country's bonds exhibit its largest amount of credit risk in 18 months....

    • Credit Default Swaps (CDS)
  230. Shorts target investors' big oil shelter

    26 October 2015

    "Large firms have been a source of relative outperformance in the Oil & Gas sector over the recent slump, but short sellers have been targeting...

    • Securities Finance
  231. Investors shun covered bonds as more QE expected

    26 October 2015

    The growing market consensus regarding more Eurozone quantitative easing has seen investors trim their covered bond holdings despite the asset...

    • Credit Default Swaps (CDS)
  232. Markit Non-Agency RMBS - Yield Summary - October 23, 2015

    25 October 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  233. Markit Non-Agency RMBS - Yield Summary - October 16, 2015

    25 October 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  234. Markit Non-Agency RMBS - Yield Summary - October 09, 2015

    25 October 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  235. Most shorted ahead of earnings

    23 October 2015

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers target DVDs through...

    • Securities Finance
  236. Week Ahead Economic Overview

    23 October 2015

    "Economic data are likely to show that growth has slowed in the US and UK, as preliminary third quarter GDP numbers are published throughout...

    • Purchasing Managers’ Index (PMI)
  237. Weak German manufacturing growth contrasts with solid expansion in service sector

    23 October 2015

    October's flash PMI data for Germany present a somewhat mixed picture on the overall health of the German economy. While the service sector continued...

    • Purchasing Managers’ Index (PMI)
  238. TPP agreement source of optimism for Vietnamese firms

    23 October 2015

    "Once fully implemented, the Trans-Pacific Partnership (TPP) trade agreement should greatly benefit exporting manufacturers in Vietnam as barriers...

    • Purchasing Managers’ Index (PMI)
  239. Eurozone flash PMI rises in October but growth and inflation remain disappointingly weak

    23 October 2015

    "The euro area economic upturn regained some momentum at the start of the fourth quarter, but rates of expansion and job creation remain at levels...

    • Purchasing Managers’ Index (PMI)
  240. ECB fuels bonds and credit rally; China joins in

    23 October 2015

    "The ECB reinforced its dovish stance towards monetary policy, sending eurozone government bonds higher and global corporate credit indices tighter....

    • Credit Default Swaps (CDS)
  241. Prowling tiger, hidden dividends

    22 October 2015

    "China's slowdown is impacting South Korea's export exposed economy; however, Markit's data indicates that some investment strategies and sectors...

    • Securities Finance
  242. Valeant bonds facing crisis of confidence

    22 October 2015

    Valeant bonds crashed yesterday as a short selling research firm alleged it misrepresented sales; this has pushed the entire healthcare high...

    • Credit Default Swaps (CDS)
  243. Platinum trails gold

    21 October 2015

    Platinum has seen its price lag behind gold in recent weeks as mining shares come under increased negative sentiment. Platinum ETFs have seen...

    • Securities Finance
  244. US HY rebounds but risky end remains stuck

    21 October 2015

    "Credit risk among the US high yield market has fallen in October, but the riskiest part of the quality spectrum is continuing to see spreads...

    • Credit Default Swaps (CDS)
  245. Diverse banks fend off bears in Q3 earnings

    20 October 2015

    The third quarter has so far seen trading reliant banks disappoint investors while their universal peers have proved much more resilient and...

    • Securities Finance
  246. Credit risk gathers pace among Gulf states

    20 October 2015

    "With oil prices showing little in terms of recovery, credit risk among oil exporters in some Gulf nations is faring better than others. Saudi...

    • Credit Default Swaps (CDS)
  247. Short conviction drives fee spikes in US

    19 October 2015

    "A record number of expensive to short stocks, or "specials", are currently present in US equity markets, with short sellers' convictions seeing...

    • Securities Finance
  248. Bond investors return to European paper

    19 October 2015

    "European government bonds have had a wild ride for the last six months, but the growing chorus calling for more stimulus in the region have...

    • Credit Default Swaps (CDS)
  249. Most shorted ahead of earnings

    16 October 2015

    A review of how short sellers are positioning themselves in companies due to announce results in the coming week. Lumber Liquidators most shorted...

    • Securities Finance
  250. Week Ahead Economic Overview

    16 October 2015

    "All eyes will be on China during the week, with GDP data possibly showing that economic growth fell below the psychological 7% mark in the third...

    • Purchasing Managers’ Index (PMI)
  251. Fed delay boosts Barrick and emerging markets

    16 October 2015

    "As the prospect of a 2015 rate hike fades, the weaker US dollar has boosted credit tied to gold and emerging markets. Barrick's 5-yr CDS has...

    • Credit Default Swaps (CDS)
  252. German automakers idle on

    15 October 2015

    "Almost a month after Diesel-gate at Volkswagen, European automakers look to have recovered from an acute sell off but previous signs of weakness...

    • Securities Finance
  253. Not everyone cheering Dell-EMC deal

    15 October 2015

    The huge volumes of debt involved in the Dell-EMC merger have credit markets worried as bondholders on both sides of the table feel the impact....

    • Credit Default Swaps (CDS)
  254. Global fixed income focus - September 2015

    15 October 2015

    Markit has published the inaugural edition of the Global fixed income focus. The publication includes a monthly market update and special reports...

    • Credit Default Swaps (CDS)
  255. Short sellers target teen retailers

    14 October 2015

    "The recent American Apparel bankruptcy highlights the challenges facing certain clothing retailers within the Consumer Discretionary sector...

    • Securities Finance
  256. European high yield bonds outperform US peers

    14 October 2015

    "High yield bonds have provided investors with volatile returns over the past few months, but European investors have still managed to hang on...

    • Credit Default Swaps (CDS)
  257. Market volatility boosts securities lending industry

    13 October 2015

    The North American market's recent slump has seen short sellers return to the market in levels not seen in several years; this in turn has translated...

    • Securities Finance
  258. ASEAN credit struggles to shrug off oil volatility

    13 October 2015

    "The recent rally in Asian credit was brought to an abrupt end with a 5% drop in oil prices, with Malaysia and Indonesian credit hit hardest....

    • Credit Default Swaps (CDS)
  259. Analysts revise global forecasts

    12 October 2015

    "With Q3 earnings season under way, we review sector performances and analyst revisions to earnings forecasts and compared these to changes in...

    • Securities Finance
  260. European financials shrug off recent bad news

    12 October 2015

    European financials' credit risk has continued to fall in recent days despite a spate of write-downs and layoffs. Deutsche Bank's CDS spread...

    • Credit Default Swaps (CDS)
  261. Securitised Spotlight: GNMA liquidity trends

    09 October 2015

    "Markit data indicates that Ginnie Mae (GNMA) securities within the agency MBS market have become increasingly active in recent months, especially...

    • Structured Finance
  262. Most shorted ahead of earnings

    09 October 2015

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Consensus among short sellers and...

    • Securities Finance
  263. October rally powers HY; AB InBev credit risk rises

    09 October 2015

    "Bonds rally after September woes, although bank risk surges. Bond investors demand more for big M&A deal. HY bond ETFs have seen $1.9bn of inflows...

    • Credit Default Swaps (CDS)
  264. Emerging market downturn intensifies

    08 October 2015

    Emerging market downturn intensifies

  265. Shorts make smart bets on chipmakers

    08 October 2015

    "Smartphone market saturation and price deflation has continued to drive increased consolidation in the semiconductor and component supply industry,..."...

    • Securities Finance
  266. Week Ahead Economic Overview

    08 October 2015

    "A fleet of economic data releases in the US are likely to add to the policy debate, while inflation numbers are released across a number of...

    • Purchasing Managers’ Index (PMI)
  267. Markit economic overview

    08 October 2015

    The following is an extract from Markit's monthly economic overview. For the full report please click the link at the bottom of the article....

    • Purchasing Managers’ Index (PMI)
  268. September ETP launch review

    07 October 2015

    Large asset managers and mutual fund issuers look to enter the ETF market This report aggregates newly launched funds in September and highlights...

    • Exchange-Traded Funds (ETFs)
  269. Non-bank finance and beverages lead global growth in September

    07 October 2015

    The latest detailed sector PMITM data from Markit signalled that firms operating in non-bank financial services and producers of goods for which...

    • Purchasing Managers’ Index (PMI)
  270. EM slowdown opens up positive CDS-bond basis

    07 October 2015

    Heightened volatility in Europe has seen investors rush to the CDS market to hedge against credit risk; this has in turn opened several basis...

    • Credit Default Swaps (CDS)
  271. Global dividend growth slows

    06 October 2015

    "Markit Dividend Forecasting expects global declared dividends in the fourth quarter to stall, increasing by 1.8% to reach $193bn in total, compared...

    • Dividends
  272. Recession set to deepen in third quarter as Brazil PMI slumps

    06 October 2015

    "Brazil saw stagflationary pressures intensify in September, adding to the dilemma facing the central bank. PMI data showed that the country...

    • Purchasing Managers’ Index (PMI)
  273. Emerging market downturn contrasts with robust developed world growth

    06 October 2015

    "A deepening emerging market downturn led global economic growth lower in September, according to worldwide PMI survey data. Global economic...

    • Purchasing Managers’ Index (PMI)
  274. Credit risk returns to fixed income market

    06 October 2015

    "Both CDS and bond indices indicate that US fixed income risk has picked up to multi-year highs, though Monday saw that trend retreat. The credit...

    • Credit Default Swaps (CDS)
  275. Markit Non-Agency RMBS - Yield Summary - October 02, 2015

    05 October 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  276. Clinton gouge call rallies biotech short sellers

    05 October 2015

    Short sellers that had built up positions in biotech were rewarded recently as a dramatic sell off was triggered by a tweet that sent the IBB...

    • Securities Finance
  277. UK economy grows at slowest rate for 2" years as weakness spreads to services

    05 October 2015

    "The rate of UK economic growth slowed to a two-and-a-half year low in September, according to PMI survey data, suggesting that the economy sank...

    • Purchasing Managers’ Index (PMI)
  278. September PMI surveys signal weaker Japanese growth and renewed drop in prices

    05 October 2015

    "The Nikkei PMI surveys, compiled by Markit, signalled the weakest expansion of business activity for five months in September as growth slowed...

    • Purchasing Managers’ Index (PMI)
  279. Ukraine bond restructuring sparks credit event

    05 October 2015

    "A beleaguered economy has forced Ukraine to restructure its debts, with ISDA constituting missed bond payments as a credit event. Ukraine's...

    • Credit Default Swaps (CDS)
  280. Most shorted ahead of earnings

    02 October 2015

    A review of how short sellers are positioning themselves ahead of earnings announcements in the coming week. Short sellers benefit from sudden...

    • Securities Finance
  281. Week Ahead Economic Overview

    02 October 2015

    "The release of services PMI results will provide data watchers with more insights into global economic trends in September. Meanwhile, industrial..."...

    • Purchasing Managers’ Index (PMI)
  282. Peripherals buck trend; Treasury yields tumble

    02 October 2015

    "Within a heightened risk environment, European peripherals have proven rewarding. Meanwhile in the US, a low payrolls number sends Treasury...

    • Credit Default Swaps (CDS)
  283. Words of Wisdom, Dave, Words of Wisdom

    01 October 2015 David Weisberger

    "God helps those whom help themselves," he would say. Despite my father's humble beginnings, selling magazines door to door, he was quite a teacher....

  284. Markit Agency RMBS - Specified Pool Summary - September 2015

    01 October 2015

    The Markit Agency RMBS Specified Pool Summary gives a monthly performance snap shot of the Fannie Mae and Freddie Mac MBS specified pool markets.Download......

    • Structured Finance
  285. Refiners prove winning energy bet

    01 October 2015

    "Refinery firms have been relatively insulated from the worst of the energy price collapse, which has cued the inevitable ETF to take advantage...

    • Securities Finance
  286. Languishing UK manufacturing sector sees costs fall at fastest rate since 1999

    01 October 2015

    "UK manufacturing continued to languish at the end of the third quarter amid near-stagnant exports, weak business investment and waning consumer...

    • Purchasing Managers’ Index (PMI)
  287. Global manufacturing PMI hits 26-month low amid deepening emerging market downturn

    01 October 2015

    "Global manufacturing remained stuck firmly in the slow lane at the end of the third quarter, hindered by slumping demand in many key emerging...

    • Purchasing Managers’ Index (PMI)
  288. China PMI surveys signal steepest economic downturn since January 2009

    01 October 2015

    "China's economy contracted at the steepest rate for over six-and-a-half years in September, according to survey data, as falling manufacturing...

    • Purchasing Managers’ Index (PMI)
  289. Loan returns dry up as risky assets shunned

    01 October 2015

    "Leveraged loans had a tough third quarter, which saw the asset class head into negative territory for the year, but its relatively low exposure...

    • Credit Default Swaps (CDS)
  290. EM outflows impact asset managers

    30 September 2015

    UK and US asset management firms' earnings are set to come under pressure with emerging market AUM withering as a continued market sell off has...

    • Securities Finance
  291. Chinese investors rush to money market ETFs

    30 September 2015

    "Money market ETFs have failed to gain much traction in the current low interest rate environment, but Chinese investors have been clamouring...

    • Credit Default Swaps (CDS)
  292. Glencore/Anglo decimate basic materials bonds

    29 September 2015

    Glencore and Anglo American have dragged the basic materials sector to record losses, with credit markets showing little relief. Markit iBoxx...

    • Credit Default Swaps (CDS)
  293. US home builders flying higher

    29 September 2015

    "On average short sellers have covered positions in US home builders as the housing market continues on an almost five year rally. However, certain...

    • Securities Finance
  294. Markit Non-Agency RMBS - Yield Summary - September 25, 2015

    28 September 2015

    The Markit US ABS Pricing Sector Yield Summary gives a weekly snap shot of the US Non-Agency RMBS market. Our yield calculations are based on...

    • Structured Finance
  295. Investors favour shallow end of volatility pool

    28 September 2015

    Historically volatile shares have been actively shunned by the market over the quarter in the wake of recent valiantly. The most volatile US...

    • Securities Finance
  296. Europe credit risk now higher than during Grexit

    28 September 2015

    "Corporate credit risk in Europe has surged on the back of deteriorating mining fundamentals, which have been exacerbated by the automobiles...

    • Credit Default Swaps (CDS)
  297. Most shorted ahead of earnings

    25 September 2015

    A review of how short sellers are positioning themselves in companies due to announce results in the coming week. Over a quarter of Energy Xxi...

    • Securities Finance
  298. US flash PMI results paint picture of slowing economy and falling prices

    25 September 2015

    "The survey data point to sustained steady expansion of the US economy at the end of the third quarter, but various warning lights are now flashing..."...

    • Purchasing Managers’ Index (PMI)
  299. Caterpillar credit widens; US HY bonds shunned

    25 September 2015

    "Slowing global demand for commodities hits Caterpillar's operations, increasing credit risk. Deteriorating credit fundamentals in the HY space...

    • Credit Default Swaps (CDS)
  300. AB InBev and VW cloud dividend outlook

    24 September 2015

    Markit Dividend Forecasting is expecting Volkswagen's 2016 dividend to be suspended in light of the relentless deluge of negative news around...

    • Dividends

Prev ... 10 11 12 13 14 15 16 ... Next
{"items" : [ {"name":"filter","enabled":true,"mobdesc":"Filter"},{"name":"sort","enabled":true,"mobdesc":"Sort"}, {"name":"share","enabled":true,"desc":"<strong>Share</strong>","mobdesc":"Share","options":[ {"name":"facebook","url":"https://www.facebook.com/sharer.php?u=http%3a%2f%2fprod.azure.ihsmarkit.com%2fmarketintelligence%2fen%2fmi%2fresearch-analysis%2ffinancial-markets.html%3fpid%3d13","enabled":true},{"name":"twitter","url":"https://twitter.com/intent/tweet?url=http%3a%2f%2fprod.azure.ihsmarkit.com%2fmarketintelligence%2fen%2fmi%2fresearch-analysis%2ffinancial-markets.html%3fpid%3d13&text=Financial+Services+Research+and+Analysis+%7c+S%26P+Global","enabled":true},{"name":"linkedin","url":"https://www.linkedin.com/sharing/share-offsite/?url=http%3a%2f%2fprod.azure.ihsmarkit.com%2fmarketintelligence%2fen%2fmi%2fresearch-analysis%2ffinancial-markets.html%3fpid%3d13","enabled":true},{"name":"email","url":"?subject=Financial Services Research and Analysis | S&P Global&body=http%3a%2f%2fprod.azure.ihsmarkit.com%2fmarketintelligence%2fen%2fmi%2fresearch-analysis%2ffinancial-markets.html%3fpid%3d13","enabled":true},{"name":"whatsapp","url":"https://api.whatsapp.com/send?text=Financial+Services+Research+and+Analysis+%7c+S%26P+Global http%3a%2f%2fprod.azure.ihsmarkit.com%2fmarketintelligence%2fen%2fmi%2fresearch-analysis%2ffinancial-markets.html%3fpid%3d13","enabled":true}]}, {"name":"rtt","enabled":true,"mobdesc":"Top"} ]}
Filter Sort
  • About S&P Global Market Intelligence
  • Quality Program
  • Email Subscription Center
  • Media Center
  • Our Values
  • Investor Relations
  • Contact Customer Care & Sales
  • Careers
  • Our History
  • News Releases
  • Support by Division
  • Corporate Responsibility
  • Ventures
  • Quarterly Earnings
  • Report an Ethics Concern
  • Leadership
  • Press
  • SEC Filings & Reports
  • Office Locations
  • IOSCO ESG Rating & Data Product Statements
  • © 2025 S&P Global
  • Terms of Use
  • Cookie Notice
  • Privacy Policy
  • Disclosures
  • Do Not Sell My Personal Information