Gold’s 2025 outperformance versus crude oil may signal deflation, potentially reinforced by grain prices. Without a Corn Belt supply shock, corn, soybeans, and wheat may trend lower, Bloomberg Intelligence analysis shows.
In this edition of All Options Considered, Bloomberg Intelligence Chief Global Derivatives Strategist Tanvir Sandhu is joined by Dan Tapiero, founder and CEO of 10T Holdings and 1RoundTable Partners, to discuss how to navigate volatility in digital assets.
The euro’s recent rally reflects a shift away from traditional rate-driven narratives, as tariff risks and U.S. macro shocks eclipse interest-rate differentials.
Portfolio trading has surged in the US Investment Grade markets over the past five years. This analysis explores its effectiveness, pricing outcomes versus traditional trading, and how bond characteristics impact results.
Gold’s strong outperformance of crude oil and most risk assets in 2025 may signal limits to U.S. stock-market wealth creation—or will the S&P 500 once again lift all boats?
Tencent and Alibaba lead China’s AI software sector, outpacing Baidu as DeepSeek enables tech development and ByteDance, Huawei gain ground, Bloomberg Intelligence analysis shows.