Bonds
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Interest rates
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Morningstar DBRS Economic Update: The US Powers Through, While Canada Aims to Recover
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What’s Next for the Canadian Stock Market?
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Keeping Interest Rates Steady, Bank of Canada Acknowledges Its “Dilemma”
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What to Expect on Interest Rates from the Bank of Canada’s June Meeting
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Surprise Job Gains in May Are Unlikely to Spur a Bank of Canada Rate Move
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Despite Gas-Fueled Inflation, April CPI Seen Giving Bank of Canada Room to Avoid Rate Hikes
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Weekly Insights: Stock Market Outlook, Best-Performing Dividend Stocks, and Q1 Earnings Insights
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Weak Jobs Data Douses Expectations for Bank of Canada Rate Hike
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Weekly Insights: Fund Rating Upgrades and Downgrades, a Rate-Hike Tilt at the BoC, and Q1 Earnings
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As Powell Closes Out Term as US Fed Chair, Odds of Rate Cut in 2026 Vanish
More In Bonds
What’s Changing (and Not Changing) With the Morningstar Medalist Rating?
This week, Morningstar is simplifying its Medalist Rating.
Q1 Canadian Markets: Stocks in the Green, Bond Yields Higher as the Iran War Rattled Markets
Gains in the energy, basic materials, and utilities sectors kept Canadian stocks in positive territory.
Why Are Canadian Bond Yields Surging Even as the Economy Struggles?
The Canadian bond market is beholden to the Iran war and the Bank of Canada’s reaction to it.
3 Top-Performing Canadian Short-Term Fixed-Income Funds
Offerings from BMO and Vanguard stand out.
Best Bond ETFs for Canadian Investors
Index funds from BMO, Vanguard, and iShares dominate.
For Canadian Bond Investors, Will 2026 Bring More Gains?
The economy and Bank of Canada policy should be supportive, but renewed trade tensions with the US could bring risks.
Canadian Bond Yields Slip as Growth Cools: More Declines Ahead?
Canadian bond yields have been edging lower since peaking in mid-July.
The Deficit is the Biggest Risk for the US Bond Market, Says Matt Eagan of Loomis Sayles
“Inflation is in the system irrespective of tariffs. Tariffs just add to the fuel.”
The Fund Manager Using Volatility to Power Up Returns for Fixed-Income Investors
For RBC’s Dagmara Fijalkowski, embracing opportunity in uncertainty is the only way to go.
Are Trump’s Policies Leading to Higher Treasury Yields?
International bond fund managers see the need for a yield premium on US bonds, but differ on the reasons.
What’s Next for the Canadian Bond Market?
Short-term yields could fall, but longer-term yields may be stickier.
US Treasury Bond Yields Jump as Trade War Calls Safe Haven Status Into Question
The rise in bond yields comes despite growing expectations that Trump’s tariffs will drive the US economy into a recession.
How Fund Managers Are Reacting to the German Bond Market’s Once-in-a-Generation Selloff
A sharp uplift in global bond yields creates difficult choices for many managers.
Where Investors Can Find the Highest US Bond Yields in 2025
Plus, the risks of hoarding cash in your portfolio today.
What’s the Outlook for US Bonds in 2025?
Long-term yields spiked after the election on fears of inflation resurfacing and higher government borrowing.
Postelection Deficit Concerns Fuel Jump in US Bond Yields
Despite Fed rate cuts, long-term bond yields rise as investors worry about government spending and continued strong growth.