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The Rise of Hedge Funds: Exploring Their Impact on Financial Markets

OfficeHours

Hedge funds are significant players in financial markets given the size of their capital bases and the frequency of their trading. It’s important to note that hedge fund activity in financial markets can have a significant impact on stock prices and market volatility, even if hedge funds do not control the majority of the volume.

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Stocks Rally and Bond Yields Slide as Fed Signals Rate Cuts in 2024

The New York Times: Banking

The Fed’s rate increases since March 2022 have sent shock waves through financial markets, raising borrowing costs on things like mortgages and government debt and weighing on the stock market.

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Government debt glut could rock markets in 2025, BIS says

Global Banking & Finance

By Naomi Rovnick LONDON (Reuters) – The threat of soaring government debt supply destabilising financial markets has intensified, the world’s top central banking advisory body said on Tuesday, as it urged policymakers to act swiftly to prevent economic damage.

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As global debt worries mount, is another crisis brewing?

Global Banking & Finance

As global debt worries mount, is another crisis brewing? A surge in […]

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Strategies for optimizing revenue with narrow bid-ask spreads

Global Banking & Finance

Strategies for optimizing revenue with narrow bid-ask spreads After the debt ceiling agreement in May 2023, liquidity in the US financial markets dropped sharply, shaking the confidence of investors worldwide. Even Bitcoin’s liquidity took a hit, worse than the aftermath of the FTX collapse.

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Corporates Face Novel, Greater Risks from Debt Ceiling Impasse—Even if No Default Occurs

Cleary M&A and Corporate Governance Watch

government debt plays out over the coming months, the United States is in uncharted territory. While there have been a number of actual and threatened “government shutdowns” in recent years, and government agencies and executives have experience navigating them, a market perception of a credible default risk on U.S.

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What S&P’s ratings downgrade means for France

Global Banking & Finance

What S&P’s ratings downgrade means for France By Leigh Thomas PARIS (Reuters) -Standard & Poor’s (S&P) decision to downgrade its rating on France’s sovereign debt should in the short term deliver more political sting than pain in financial markets.

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