US Treasury Secretary Bessent sells farm under ethics deal
US Treasury Secretary Scott Bessent sold his soybean farm to comply with ethics rules. The move comes amid renewed US-China soybean trade and after he missed several divestment deadlines.
US Treasury Secretary Scott Bessent sold his soybean farm to comply with ethics rules. The move comes amid renewed US-China soybean trade and after he missed several divestment deadlines.
An SBI report states the RBI has successfully managed liquidity. Now, financial markets must demonstrate maturity and adjust to new realities for stable growth.
US stock indices opened higher on Friday as investors awaited the crucial PCE inflation data. The Dow, S&P 500, and Nasdaq all posted modest gains. Read the full analysis.
Global shares and cryptocurrencies rebounded on Tuesday. Wall Street indices rose, Bitcoin gained over 5%, and bond markets steadied as investors anticipate a U.S. Fed rate cut next week. Read the full analysis.
The US dollar's status as the world's reserve currency is under threat. Discover how Trump's tariffs and policy shifts are causing global investors to diversify away from American assets.
With inflation at record lows and strong GDP growth, the RBI faces a complex rate decision. Experts say sustained liquidity support is crucial for effective policy transmission and stabilizing bond markets. Read the analysis.
Asian stock markets mostly advanced Tuesday, lifted by expectations of US interest rate cuts and a slight easing in Japanese bond yield concerns. Key indices in Hong Kong, Japan, and South Korea posted gains.
US House & Treasury probe $1B fraud in Minnesota's pandemic food aid. Funds allegedly diverted to Al-Shabaab. Governor Walz under fire. Read the full investigation details.
UK's FCA investigates potential market manipulation after OBR's accidental early budget release caused significant bond yield swings. Key details inside.
Indian government bonds declined sharply after better-than-expected 8.2% GDP growth raised doubts about RBI rate cuts. Benchmark 10-year yield rose to 6.5463%. Read analysis.
India's bond market faces significant demand-supply imbalance, pushing yields higher. Discover which mutual fund categories can help investors capitalize on this market shift.
The Federal Reserve's record losses are reversing as regional banks return to profit. This shift could soon resume crucial payments to the US Treasury. Discover the implications.
US regulators ease capital rules for major banks, freeing $219B for subsidiaries. Fed officials divided on move affecting Treasury market stability. Read analysis.
Wall Street surged over 1.5% as hopes for a December Fed rate cut grew. Nvidia's strong earnings eased tech valuation fears. Get the latest market analysis and trends.
US imposes sanctions on TR6 Petro India and other entities for trading Iranian oil, citing terror funding concerns. Full details on the crackdown.
Opposition leader Jai Ram Thakur criticizes Himachal Congress government for celebrating 3 years in office while state faces financial crisis and disaster recovery. Read full analysis.
Indian investors flock to corporate bonds for higher returns, but credit ratings from SEBI-registered agencies like CRISIL provide crucial risk assessment. Learn how to navigate the risk-return spectrum safely.
A new study reveals extreme floods are devastating rice yields, with a 4.3% global drop. This threatens food security and could destabilize global rice prices. Urgent action is needed.
Global bonds are heading for their strongest performance since 2020, with the Bloomberg U.S. Aggregate Bond Index returning 6.7% in 2025. Federal Reserve rate cuts overcome deficit concerns, boosting Treasury and corporate debt markets. Read analysis.
Wall Street shook off early losses as bargain hunters lifted tech stocks despite hawkish Fed comments reducing December rate cut probability to 46%. Nvidia rose over 2% ahead of earnings.
Canadian dollar stabilizes as oil prices surge 2.4% and factory sales beat expectations with 3.3% growth. Bond yields rise across curve. Key insights for forex traders.
Crypto accumulation vehicles are increasingly using in-kind contributions instead of cash, transferring pricing risks to shareholders. Learn how this affects retail investors.
Trump administration debates $2,000 tariff dividend for families earning under $100,000. Treasury Secretary reveals ongoing discussions about income threshold and implementation.
Treasury futures surged and dollar hit near two-week low after weak ADP jobs data boosted Fed rate cut bets. US companies shed 11,250 jobs weekly amid government shutdown.
FinMo launches groundbreaking treasury management platform with connected financial intelligence. Discover how it transforms corporate finance with real-time control and insights.
Bank of Baroda's latest analysis reveals promising outlook for India's 10-year government bonds, with yields expected to trade between 6.48% and 6.58% in November, driven by robust foreign institutional investor inflows and favorable market conditions.
After four consecutive weeks of relief, US mortgage rates have reversed trend, with the 30-year fixed rate climbing to 6.22%. Discover how bond market movements are impacting home loan costs and what this means for prospective buyers.
As global tech stocks face a major correction, all eyes turn to Nvidia's upcoming earnings report. Discover how the AI chip giant's performance could determine the sector's future trajectory amid rising Treasury yields and valuation concerns.
Amid RBI's twists, turns, and OMOs, bond investors face volatility. Discover why long-term discipline might be the key to navigating India's complex debt market landscape.
Asian markets witnessed significant declines as tech stocks faced heavy selling pressure. Japan's Nikkei fell below the 50,000 mark while South Korea's Kospi tanked 6%, mirroring Wall Street's overnight sell-off amid rising bond yield concerns.