Quarterly Outlook
Fixed Income Outlook: Bonds Hit Reset. A New Equilibrium Emerges
Althea Spinozzi
Head of Fixed Income Strategy
Summary: There's optimism amid Russian and Ukraine talks, yet it's too soon to discount commodity markets. Equities to likely continue to rally for now, until reality bites that margins will be squeezed, as policy support vanished and interest rates will rise. The US economy strengthens, so there’s a case for a series of 0.5% rate hikes from the Fed. Micron posts better than expected earnings and outlook. Iron ore pushes up. BoJ is in the market again, but yen weakness may return. China may impose new restrictions on live-streaming. Crypto sentiment is bullish, we share the possible trades on the ASX and NYSE.
Co-written by Market Strategists Jessica Amir in Australia, Redmond Wong in Hong Kong, Charu Chanana in Singapore.
What’s happening in markets?
What to consider?
Potential trading ideas
Economic releases to watch
Earnings to watch:
In Hong Kong & mainland China