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Global Insight 2025 Outlook: United States - RBC Wealth Management The chart shows average Bloomberg consensus forecasts for U S policy interest rate and various Treasury bond maturities at the end of 2025, with bars indicating the range of estimates by analysts surveyed
Q2 2025 Investment Outlook: Navigating global markets - U. S. Bank Treasury yields fairly compensate for Fed policy expectations, inflation ambiguity and growing Treasury bond supply Recent administration efforts to reduce government spending did little to cut the federal deficit thus far, which remains around 7% of gross domestic product (GDP)
Outlook 2025 | Barclays Private Bank In the following chapters, we look at what the growing pace of rate cuts by US and European central banks might mean for bonds and equities in 2025 With around half the world heading to the polls this year, we also examine just how much of an effect election results could have on prospects for financial markets
2nd Quarter 2025 Outlook - James Investment The Bloomberg US Aggregate Index – a proxy for investment-grade bonds – currently yields 3 8%, higher than its 10-year average of 3 0% This yield environment makes a compelling case for increasing allocations to higher-quality fixed income, particularly in the more liquid portions of investment portfolios
2025 Bond market outlook: Four sectors to watch 2025 has kicked off with significant movement in the fixed income market Central banks around the globe have maintained a cautious stance, including in the US where interest rates have stayed ‘higher for longer’ As a result: The 10-year US Treasury yield has escalated to 4 76%, a peak since November 2023
Q1 2025 Global Outlook | Barclays Investment Bank The US is resilient, China is stimulating, inflation has dropped across the West, and central banks are cutting rates Get our Research analysts' take on where the opportunities and risks lie for the global economy
2025 Investment Outlook | Amundi Research Center Investors should broaden their exposure to equities beyond US mega-cap stocks, look for income across liquid and illiquid assets, and implement hedges in a more fragmented world We’re seeing a shift in fixed income’s prospects that will continue in 2025, as US and European curves shift lower