Offshore investing in bonds hit highest level since pandemic
Rate cuts remain data dependent as growth cools, recession avoided
Macro and sector-specific factors favour a rebound in North American deals
Research suggests that further slack is needed to bring inflation back to target
The four-week average of claims, which softens some of the week-to-week volatility, rose to 227,000
There was $1.76 in credit market debt for every dollar of household disposable income in Q1
The longer the Fed keeps borrowing costs high, the more it risks weakening the economy too much
Strength of U.S. economy will support global growth of 2.6% this year
High rates, cautious consumers driving insolvency trends
Corporate and government borrowing hits highest level since pandemic