Research
Tightening U.S. gas market to resurrect coal generation
Prices are rising sharply because the gas market is tightening, and BloombergNEF anticipates that price action in gas will boost coal generation next year.
Research
Triple-leveraged gas ETN's 3,900% premium signals broken pricing
DGAZF traded as much as 3,900% above NAV because market makers lack the ability to create new shares to meet demand, which could harm some investors and the ETF industry's reputation.
Article
Is the gold/silver price ratio an indicator for the equity markets?
The recent uptick in silver prices was foreshadowed by the gold/silver ratio, which has been a reliable barometer for moves in the broader equity indices in 2020.
Market Analysis
Finding the trend in volatile oil markets
Veteran oil traders are looking for fundamental indicators to determine where oil prices go next, and one historically reliable signal has been staffing levels at oil companies.
Report
Celent research into NAV oversight and contingency highlights managers’ concerns and challenges
Celent's report, sponsored by Bloomberg, assesses practices, challenges and concerns relating to NAV calculations outsourced to third-party administrators and service providers.
Article
Using relative performance measures and context to gain perspective in post trade TCA
Trading cost analysis (TCA) is now an essential activity for fixed income traders seeking quantitative execution quality insights.
Article
Automation will support, not replace, human traders
As execution desks become more automated, the skill sets required by human traders to excel in that environment have also evolved and become increasingly sophisticated.
Q&A
An analyst's perspective on ESG investment trends and the future of sustainable finance
Adeline Diab, Head of ESG and Thematic Investing in EMEA for Bloomberg Intelligence, answered questions about ESG investment trends, the impact of COVID-19 and the future of sustainable finance.
Research
Four key investment themes position India well post-COVID-19
India scores well on four of five dimensions that should define the best emerging-market performers post-coronavirus, with a large domestic market, geostrategic alignment, corporate dynamism and reform/infrastructure momentum in its favor.
Article
COVID-19 raises additional risks for buy-side outsourcing
Although it is still too early to determine the whole of the impact on outsourced operations, it is possible to start determining the critical areas where new risks have emerged or been identified.