Asset Class
Rates & Credit Research Hub
Global rates and credit markets are navigating a landscape defined by resilient primary demand despite rising volatility in specific sectors. In the rates space, sovereign yields have trended slightly lower while investors focus on central bank announcements from Europe and the UK, especially as US price pressures persist in the ISM services data. Credit markets demonstrate robust appetite, exemplified by the seamless absorption of €6.5bn in new EUR investment grade and financial issuance, though analysts note that secondary market compression is slowing with sector spread differentials stabilizing around 30-35bp. However, specialized credit risks are emerging as a 21% year-to-date decline in the software sector begins to pressure BDC valuations, highlighting the potential for private credit stress. While cooling oil prices near $68/b mitigate some inflationary concerns, the delay of official US payrolls due to a government shutdown has heightened the importance of private sector labor data. Finally, structural credit considerations are appearing in the housing market, where demand-side policy proposals are viewed as potential drivers of increased credit risk.
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Morning Line Express
Natixis · Jun 29, 2026
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UBS · Jun 29, 2026
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Credit Calls
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America, Frontier Market
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Emerging European Sovereign Credit Diverging Fiscal Paths Amid Shifting Political Tides
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The Point for North America
Citi · Jun 26, 2026
UK & European Research At A Glance
RBC Capital Markets · Jun 26, 2026
2026 Mid-Year Outlook
J.P. Morgan · Jun 26, 2026
The Point for Europe
Citi · Jun 26, 2026
Scaling Back Exposure To EM Assets
TS Lombard · Jun 26, 2026
Global Economic Calendar
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Weekly Mash
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US Weekly Kickstart
Goldman Sachs · Jun 26, 2026
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Berenberg · Jun 26, 2026
GEMs In The Week: How Far Can Rates Follow Oil
HSBC · Jun 26, 2026
Lock-in Attractive Yields
UBS · Jun 26, 2026
Investor Positioning and Flows
Deutsche Bank · Jun 26, 2026
Credit Strategy Weekly
Société Générale · Jun 26, 2026