Asset Class
Rates & Government Bonds Research
Current research across global government bond markets reveals a widening divergence in monetary policy expectations, driven by regional growth disparities and shifting inflation trends. In the United States, softening labor data—evidenced by ADP payrolls falling significantly to 22k—supports forecasts for the Federal Reserve to cut rates toward a 3.14% floor. Similarly, the European Central Bank faces pressure to continue easing policy as regional inflation has dropped to 1.7% amid fragile economic growth and geopolitical uncertainty. Conversely, interest rate markets in New Zealand and Australia have recently hit cycle highs, with pricing suggesting terminal rates of 3.15% and 4.26% respectively to combat domestic pressures. Japan presents a distinct case for policy normalization; despite a slowdown in Tokyo CPI, the Bank of Japan is focusing on 'underlying' trend inflation near 2% to justify potential further rate hikes. Regional dynamics in Asia remain mixed, with Bank Indonesia expected to hold rates to defend the rupiah while the Bank of Thailand explores cuts to address persistent deflation. Overall, government bond yields are being shaped by this fundamental policy recalibration as markets weigh the potential for higher rates to dampen recovery versus the need for easing in softening economies.
2832 reports available
All reports
Page 112 of 116
Daily FX Update
Scotiabank · May 11, 2026
From the US Market Desk What a Move
Franklin Templeton Institute · May 11, 2026
You Shall Not Pass Japans 160 FX Wall
UniCredit · May 11, 2026
Market Monitor
Goldman Sachs · May 11, 2026
Morning Market Tidbits
Bank of America · May 11, 2026
Federal Reserve Watch: Pushing Cuts Out to 2H 2027
Bank of America · May 11, 2026
Will the Market Test Warsh
TSL Lombard · May 11, 2026
US Watch April Jobs Review
Bank of America · May 11, 2026
GS European Express: Big Oils, Sponsor Activity, and Capital Goods Update
Goldman Sachs · May 11, 2026
Will the Market Test Warsh
TS Lombard · May 11, 2026
Two Things to Watch in the Coming Week
UBS · May 11, 2026
Japan Macro Information
Mizuho Securities · May 11, 2026
Fast FX Fair Value Model Back to Selling Nok Sek
Crédit Agricole CIB · May 11, 2026
Record US Stocks Disconnect or Not
BlackRock · May 11, 2026
Nordea Forecast Update
Nordea · May 11, 2026
Weekly Economic Commentary
Westpac Banking Corporation · May 11, 2026
Running Out of Memory Not Oil
Goldman Sachs · May 11, 2026
Global Week Ahead: Separation Anxiety
Scotiabank · May 11, 2026
Debt Capital Markets Update
Piper Sandler · May 11, 2026
Managing Allocations in Volatile Markets
Standard Chartered Global Private Bank · May 11, 2026
Monday Movers Dissected
Citigroup Inc. · May 11, 2026
Macro Weekly Japan
Mizuho Securities · May 11, 2026
Guide to US CPI Risks
Citi · May 11, 2026
Fixed Income Weekly Update
Piper Sandler · May 11, 2026