Similar Articles |
|
BusinessWeek March 10, 2011 Simon Kennedy |
The Makings of a Bond Debacle Economists pick up early signs of a 1994-style bond rout in the actions of central banks. If they're right, watch out. |
BusinessWeek July 29, 2010 Peter Coy |
Inflation: The Great New Divide The world economy is evolving into inflationary and near-deflationary zones. Emerging markets must slow down without crashing.. |
BusinessWeek April 28, 2011 Rich Miller |
Why a Fed Rate Hike May Be Delayed The GOP's calls for austerity increase the likelihood of long-term budget cuts, and mean interest rates may hold longer than expected. |
BusinessWeek March 7, 2005 |
A Bumpy But Rewarding Ride At PIMCO Pacific Investment Management Co.'s (PIMCO) El-Erian sees emerging markets getting on a surer footing in 2005. |
On Wall Street December 1, 2009 Milton Ezrati |
Emerging Economies Are Even Better Than Advertised Not only have emerging markets resumed their place as leading engines of global growth, they have also followed monetary and fiscal policies that are much more prudent than those of the United States, Japan and most other developed nations. |
The Motley Fool January 7, 2010 Tim Hanson |
How to Make More in 2010 2010 is shaping up to be another good year for emerging markets investors. |
On Wall Street October 1, 2011 Milton Ezrati |
Don't Count The Emerging Markets Out Yet Though it would certainly be a mistake to look for emerging markets to duplicate their past performances, circumstances should still permit these markets, as a group, to continue to post strong performances. |
BusinessWeek January 21, 2010 Michael McKee |
As the Economy Recovers, What Is 'Normal'? The Great Recession had many experts fretting about America's long-term growth potential. Now a survey of Wall Street economists shows a less pessimistic view. |
The Motley Fool February 9, 2010 Tim Hanson |
How to Make More in 2010 It could have been so much better. 2010 is shaping up to be another good year for emerging-markets investors, and you'll do better in 2010 if you add global exposure to your portfolio today. |
Registered Rep. January 4, 2010 Brad Zigler |
Is There a New Normal in Your Future? There was a time when applying the word "new" to a product was a surefire way to stimulate buying. Not so with economic theory. |
BusinessWeek March 11, 2010 Rich Miller |
'The New Normal' vs. 'The New Mix' The difference between terms is more than just semantics. One forecasts prolonged drudgery for the economy, the other sees recovery. So which should be on the tip of your tongue? |
BusinessWeek December 1, 2010 Rich Miller |
Bernanke and Geithner Fight Back How the Federal Reserve chairman and Treasury Secretary are battling to defend the Fed's latest moves -- and preserve its independence. |
BusinessWeek October 28, 2010 Roben Farzad |
Emerging Markets: Bubble or Growth Leader? Emerging markets are bubbly, unless you believe a huge shift is under way. |
BusinessWeek May 27, 2010 Roben Farzad |
The Sun Also Sets Investors learned the lessons of the recent recovery a bit too well |
BusinessWeek June 16, 2011 Rich Miller |
The Unreliable Predictive Power of Bond Yields Bond investors follow interest rates as predictors of financial crises, but it turns out they're a poor indicator. |
The Motley Fool December 28, 2009 Jennifer Schonberger |
Get Ready for a Bumpy 2010 PIMCO's Mohamed El-Erian gives his thoughts on the economy and the bond market. |
BusinessWeek April 8, 2010 Miller & Kennedy |
Global Inflation Is Low--and Falling The world economy has struggled back onto its feet, but pricing power is still dangerously low, risking a Japan-style deflationary malaise. |
Financial Planning March 1, 2011 Kathryn Koch |
BRIC Foundations The long-term outlook for the BRIC country economies is stronger than ever, presenting an attractive way for investors to increase their emerging-market exposure. |
Financial Advisor July 2007 Marla Brill |
Coming Of Age As emerging market economies become more secure, so too does their debt. |
Financial Advisor February 2012 Marla Brill |
Setting Up For Inflation If the bleak economic scenario plays out the way Rob Arnott envisions, this fund would likely outperform its pure-equity peers. |
Financial Planning February 1, 2010 Paul Menchaca |
Growth Spurts It's still tricky to invest for retirement, but planners are starting to seek out long-term growth. Next trick: convincing skittish clients. |
BusinessWeek January 7, 2010 Simon Kennedy |
Funny, It Doesn't Feel Like a Recovery The recession may be technically over, but stubborn unemployment and building price pressure mean that many consumers will remain gloomy. |
Financial Planning February 1, 2010 Suzanne McGee |
Thinking Outside the Dollar Longtime international investors are bulking up their non-U.S. allocations, and more conservative players are taking notice. |
The Motley Fool March 10, 2009 Dan Caplinger |
The Brightest Beacon in a Gloomy World Investors fled from the emerging economies in the wake of financial troubles throughout the developed world. This year some of those economies have seen their stocks finally recover somewhat. |
BusinessWeek June 23, 2011 Rich Miller |
What Now, Chairman Bernanke? Some economists and former Fed officials think Bernanke should rethink the central bank's wait-and-see policy as growth slows. |
On Wall Street October 1, 2008 Milton Ezrati |
The Bric Economies: No Longer a Cornerstone These markets are starting to perform in very different ways, so investors need to step up research efforts to determine the best bets. |
BusinessWeek August 25, 2010 Mark Gilbert |
Interest Rates: The Zero Percent Solution There are smart arguments for the world's central banks, particularly the Fed, to start raising rates. They just may not be smart right now. |
Investment Advisor June 1, 2011 Jim McAllister |
Emerging and Developed Markets -- Decoupling or a Reversion to the Mean? Vast differences in economic growth rates are at work in the performance disparity between developed and emerging markets. |
Financial Advisor July 2009 Jeff Schlegel |
Rebuilding With BRICs The Big Four of emerging markets are back in favor. |
BusinessWeek September 27, 2004 Bremner et al. |
Is Asia Prepared for the Next Crisis? Sound budgets, big trade surpluses, healthier banks -- the developing world has come a long way. That's why investors are pouring in money. But the risks haven't disappeared. |
The Motley Fool April 13, 2009 Anand Chokkavelu |
Why India Is No China When it comes to international investing, it's convention to lump countries into one of two categories: developed markets vs. emerging markets. But apart from scale and high portfolio inflows India and China don't share that much in common. |
Financial Advisor December 2003 Lynn O'Shaughnessy |
The Sleeper That Soared To the surprise of many, emerging-market debt has performed well. |
Financial Planning May 1, 2007 Suzanne McGee |
Global Investing: New Bright Ideas For the past few years, international investments seemed to go one way: Up. Now, financial advisors find, the picture is getting more complicated. |
BusinessWeek April 1, 2010 Keene & Walker |
A Bond King Turns Bearish With interest rates likely to move higher, Pimco's Bill Gross says the long bull market for bonds is over. |
BusinessWeek January 6, 2011 Ragir & Kopecki |
Brazil's Credit Boom Could End in Tears Consumer credit has shot up fivefold since the end of 2002. Now Brazil's leaders are moving to head off a subprime-style crisis. |
BusinessWeek November 20, 2006 Mandel & Dunham |
Can Anyone Steer This Economy? Global forces have taken control of the economy. And government, regardless of party, will have less influence than ever |
Investment Advisor July 2006 Carol A. Wood |
S&P Mutual Fund Sector Focus: Steady at the Helm in Rough Seas S&P's continues to recommend placing 20% of one's portfolio in foreign equities, including 3% in emerging market stocks. Here are some fund recommendations. |
BusinessWeek November 10, 2010 Shamim Adam |
The G-20: Asia's Central Banks Face a Policy Dilemma As money floods in, Asia's central banks are finding they cannot have free capital flows, controlled currencies, and moderate interest rates at the same time. |
Finance & Development June 2011 |
Rethinking Economics in a Changed World Three Nobel laureates discuss what the global crisis has taught us. |
BusinessWeek April 8, 2010 Peter Coy |
U.S. Economy: The Case for More Stimulus The worst thing about the uptick in hiring? It could undermine a second wave of federal spending that may be needed to stave off a double-dip recession. |
BusinessWeek April 29, 2010 Daniel Kruger |
Where Have All the Bond Vigilantes Gone? Governments are borrowing more than ever, yet rates remain low |
Financial Advisor August 2006 Alan Lavine |
Emerging Bond Market Stalls Investor concern about the U.S. economy casts a long shadow. |
Financial Advisor September 2008 Evan Simonoff |
The Old Rules Don't Apply Anyone watching the stream of economic news surfacing this year has to wonder if there is a growing gap between perception and reality. |
Investment Advisor May 1, 2011 Peter Schiff |
The Bear Truth Bullish investors are seeing the markets through overly rose-colored glasses |
Financial Planning January 1, 2011 Daniel Jay Korn |
Outlook 2011: A Modest Proposal Hopefully this year's results will skew more toward boom than gloom. Even so, planners might want to add a few safe havens to clients' portfolios in case the three-peat turns out to be yet another 21st-century bear market. |
The Motley Fool November 11, 2010 Tim Hanson |
Why China Hates QE2 Explaining the Tea Party's unlikely ally. |
On Wall Street March 1, 2011 Jerry Webman |
The End Of The Bond Empire? Now, investors reasonably ask whether fixed income investments actually have a future. My answer is that they do. |
The Motley Fool February 8, 2011 Amanda B. Kish |
Are Emerging Markets in Danger? Time will tell whether the current blip in emerging markets' fortunes is temporary or the start of a more pervasive downward trend. |
Finance & Development September 2009 Koshy Mathai |
Back to Basics: What Is Monetary Policy? MONETARY policy has lived under many guises. But however it may appear, it generally boils down to adjusting the supply of money in the economy to achieve some combination of inflation and output stabilization. |
On Wall Street November 1, 2011 Jerry Webman |
The Global Government Bonds Advantage Facing the debt-ratings downgrade in the U.S. and the ongoing sovereign debt train wreck in western Europe, fixed income investors are taking a new look at government bonds from unexpected regions and accepting payment in unfamiliar currencies. |