In this edition of the All Options Considered podcast, BI’s Chief Global Derivatives Strategist Tanvir Sandhu is joined by Chris Murphy, Co-Head Derivative Strategy at Susquehanna, to discuss cross-asset volatility and flows.
Companies inform investors of possible business risks from Trump’s government changes, tucking warnings into extensive «risk factor» sections of filings, contrasting with their publicly positive outlook.
This episode of Bloomberg Pro Tips shows how, by using Bloomberg Lab for Desktop, you can convert your proprietary financial analysis into an app that your colleagues can access on the Bloomberg Terminal.
Mexico, China and Canada were the largest importers for the US in 2023, and the first targets of US President Donald Trump’s tariffs. Germany, Japan, South Korea, Vietnam, India, Ireland, Italy and France may be next.
US companies are putting up one of their best earnings seasons in three years on the back of robust economic growth. Still, concerns about inflation, still-high interest rates and tariffs may be signs of eroding profitability.
As technology continues to reshape financial services, regulators and policy setters are embarking on a range of digital-finance initiatives to manage risks and set appropriate standards.