One way to understand the financial impact of policy uncertainty is to look at the implied volatility of important bilateral currency pairs. … READ MORE >
volatility
Market minute: Complacency in markets understates growing risk
Several measures of risk point to increasing complacency in financial markets despite the possibility of rising interest rates, changing trade and fiscal policies, and rising inflation. … READ MORE >
Volatility in markets: Hedging risk in an era of growing uncertainty
It is clear that volatility in interest rates, bond yields and foreign exchange markets will accelerate and that firms will need to consider ways to hedge that volatility. … READ MORE >
Morning market minute: The tax over policy uncertainty is rising
Volatility across asset markets has been rising as investors adjust to changes in fiscal, trade and financial policies. Will this volatility spill into the real economy? … READ MORE >
How Canadian real estate leaders can adapt and succeed in a volatile 2025
Canadian real estate leaders must decide how to act in 2025 as further interest rate cuts loom, stricter immigration policies take effect and the federal government’s 10-year bonds are up. … READ MORE >
Interest rate volatility: Why Fed policy guidance is less effective
The past year has had significant volatility in financial markets, with dramatic shifts in the 10-year yield and multiple resets in market expectations for interest rate paths. … READ MORE >