Week in review

Trading desk

RBA minutes released Tuesday, UK data due is expected to show post Brexit weakness

Monday 15 August 2016 by
Company research

Little Brexit impact on FIIG bonds

Given all the comments about Brexit and the largely negative impact on the global markets – lower equity prices and credit spread widening – we thought it would be useful to put together a summary that examined the exposure of FIIG originated bonds to the situation

Tuesday 28 June 2016 by
Opinion

Brexit: Concerns grow

Financial investors were hopeful that, given the weekend to comprehend the UK’s decision to leave the EU, rational heads may have worked out some of the issues – resulting in much calmer European financial markets on Monday

Tuesday 28 June 2016 by
Opinion

Corporate bonds offer haven as Brexit looms

Britain’s crucial Brexit vote takes place on Thursday. Markets are getting progressively more nervous as polls converge with investors, realising it will take years to disengage from the EU and the drag this will have on trade and global growth if they decide to go

Week in review

Trading Desk

The Australian 10 year government bond trading at a record low, opinion polls show Brexit is much closer than expected and influx of recent Tier 2 issuance

Tuesday 14 June 2016 by
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