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  1. Market Update

    BoE leaves rates unchanged, ECB cuts as expected

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • U.K. Social Housing
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Fiscal & Monetary Policy
    The Bank of England (BoE) held Bank Rate steady at 4.25% on 19 June, aligning with expectations as the Bank takes a gradual approach to easing monetary policy. Three of the nine members of the Monetary Policy Committee (MPC) voted for a follow-up 25bps cut, a slightly more dovish vote than the...
  2. Market Update

    Holding pattern: the Fed’s continued pause as uncertainty remains elevated

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    On Wednesday, June 18, 2025, the Federal Open Market Committee (FOMC) decided to stay the course, holding Fed Funds at the current target range of 4.25-4.50% with a unanimous vote. Within the FOMC statement, the Fed noted that economic uncertainty has “diminished but remains elevated,” as it...
  3. News

    Amol Dhargalkar discusses investment opportunities in a higher interest rate environment on CNBC 'Squawk Box'

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    Amol Dhargalkar, Chairman and Managing Partner at Chatham Financial, joined CNBC’s Squawk Box to discuss how the current “higher-for-longer” interest rate environment is shaping investor behavior and capital markets.
  4. Market Update

    The U-shaped yield curve explained: What it means for rates, recession, and strategy

    In this episode of Expert Conversations: Beyond, Reuben Daniels and Laura Grant explore the rare U-shaped yield curve, seen only 3% of the time in the past 50 years. What does this unusual shape suggest about the future of interest rates and the broader economy? How should financial leaders...
  5. Market Update

    Fed holds rates steady as markets await development surrounding U.S. trade policy

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Commodity Risk Management
    • Fiscal & Monetary Policy
    Although it was a relatively light week for economic reporting, it proved to be very busy. Investors focused keenly on the Fed, which left rates unchanged, in line with market expectations. Chair Powell noted an increase in uncertainty since the last policy meeting and reiterated his belief the...
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  6. Article

    The U-shaped yield curve: a rare signal with significant implications

    • Corporates
    • Infrastructure
    • Insurance
    • Private Equity
    • Investment Banking
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    In the world of fixed income, the shape of the yield curve always tells a story — and the current yield curve is showing something we rarely see — a U-shape. It’s a unique situation, and positioning for it can be critical for both issuers and investors.
  7. Article

    BoE and ECB cut interest rates amid tariff related growth concerns

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • U.K. Social Housing
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Fiscal & Monetary Policy
    The Bank of England (BoE) cut interest rates by 25 basis points today, citing concerns over Donald Trump’s tariff policies on economic growth. However, the bank’s Monetary Policy Committee (MPC) was unexpectedly split three-ways in its decision as it faces the more unpredictable...
  8. Article

    Managing FX risk in a volatile market

    • Corporates
    • Foreign Currency Risk Management
    • Technology
    FX volatility poses a growing challenge for treasury and financial teams in today's increasingly unpredictable global landscape. Geopolitical tensions, tariff turmoil, shifting central bank policies, and inflationary pressures are driving currency fluctuations across markets. These fluctuations...
  9. Guide

    Request your Q1 2025 Market Credit Spreads report

    • Real Estate
    • Valuation
    Credit spreads shown are averages based on market rate conclusions for independent debt valuations conducted as of March 31, 2025. The market spread for an individual loan may vary based on property and loan characteristics, including, but not limited to, location, tenant profile, cash flow, and...
  10. Market Update

    Turn to Chatham: Enhancing M&A outcomes with independent hedge counterparties

    • Interest Rate Risk Management
    In our Turn to Chatham video series, Jackie Bowie provides exclusive insights into market developments shaping the U.K. and Europe.
41-50 of 655 results