Artificial intelligence companies looking to raise funds are being made to pay lofty interest rates, as debt investors become ...
The World Bank is sounding the alarm on a mounting debt squeeze in poorer nations, warning that the gap between what they owe and what they can borrow has widened to a 50-year extreme. The strain is ...
Many Americans have heard that they should worry about the staggering size of the national debt. For the first time in modern ...
The U.S. faces a $15T debt wall from 2026–2028, risking a severe liquidity crisis and historic refinancing risk. Refinancing pandemic-era debt at quadruple interest rates will spike net interest costs ...
Emerging-market debt is not a single, uniform asset class. It’s a diverse opportunity set with distinct risk and return drivers that can enhance a portfolio when understood correctly. The asset class ...
Ring Energy has gradually improved its debt situation since 2020. But weaker commodity prices now threaten this progress. Cost reductions are being implemented rapidly to address the debt ratio. REI ...
Margin debt’s recent jump to a new high is potentially worrying. But it’s not clear just how much. Margin debt reflects how much investors have borrowed from their brokers to purchase more stocks. It ...
The real motive behind the plan by the Central Bank of Nigeria (CBN) to take over the issuance and management of fixed income securities is still shrouded in secrecy. But the investing public deserves ...