NEW YORK, Oct. 22, 2025 /PRNewswire/ -- Bloomberg Indices has launched the Bloomberg US Total Fixed Income Market Index (Ticker: TOTALFI), a market-value weighted benchmark that aims to track the full ...
Global fixed-income markets also delivered positive total returns in the fourth quarter of 2025. Read more here.
This article was written by Scott Atha, Fixed Income Indices Product Manager at Bloomberg. As we look ahead and prepare for another exciting year in the Bloomberg index business, we should pause and ...
A fixed index annuity (FIA) balances between security and growth potential by linking returns to a stock market index while protecting against market downturns. It’s a popular choice for retirement ...
Earlier this year Nasdaq Global Indexes partnered with Wealth Management IQ to survey over 400 financial advisors to gauge prioritization of income in their portfolios and understand the types of ...
Invesco Senior Loan ETF (BKLN) is passively managed, tracking the Morningstar LSTA US Leveraged Loan 100 Index. See more ...
Fixed index annuities provide market-linked growth for your money and protect your principal. But returns are capped, and fees can be significant. A fixed annuity could provide partial protection ...
NEW YORK & ATLANTA--(BUSINESS WIRE)--STOXX Ltd., part of the ISS STOXX group of companies and leading provider of benchmark and custom index solutions to global institutional investors, today ...
While the long-term bond Morningstar Category posted solid returns for the year to date through June 2025, investor sentiment told a different story. The category experienced more than $9 billion in ...
Modern annuities address longevity risk, market volatility, inflation, liquidity needs, and legacy planning, helping retirees ...
Fixed-income exchange-traded funds provide diversified bond exposure, often at a low cost. Passive fixed-income ETFs lower expenses because they rely on an index to define their holdings. Investors ...
In today’s evolving market landscape, fixed income investments remain a crucial component of institutional portfolio construction. As investors navigate shifting macroeconomic conditions, ...