Skip to main content
+ Filter
41-50 of 659 results
  1. Article

    The sovereign debt time bomb: why fiscal prudence outweighs deficit size

    Markets are shifting focus from deficit size to fiscal discipline. As discussed by Chatham’s Jackie Bowie and Amol Dhargalkar, the credibility of a government’s debt management plan now matters more than the numbers themselves, making fiscal prudence the key driver of sovereign risk.
  2. News

    Amol Dhargalkar on CNBC discussing global investors hedging U.S. exposure as policy uncertainty persists

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    Global investors are showing renewed caution toward U.S. assets, signaling a shift from this year’s “Sell America” trend toward a more deliberate strategy of risk management and diversification.
  3. Market Update

    BoE holds rates in split decision while ECB remains on hold

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Fiscal & Monetary Policy
    The Bank of England (BoE) held rates at 4.0% today in a close 5-4 vote, with four members preferring a 25 basis point (bp) cut. Governor Andrew Bailey voted with the majority, noting that policy remains on a “gradual path downwards,” but emphasized the Monetary Policy Committee (MPC) still needs...
  4. News

    Jackie Bowie on BBC TV: Labour’s Tax Proposals and Market Impact

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
  5. Article

    Data blackout: economists scramble to replace the “gold standard” with alternative data

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    The ongoing U.S. government shutdown has created a data blackout, disrupting the flow of economic statistics and forcing economists and policymakers to operate with compromised data or no information at all. This isn't merely a delay in reporting; it's a direct impairment of the data...
  6. Market Update

    December rate cut not a foregone conclusion

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    On Wednesday, October 29, 2025, the Federal Open Market Committee (FOMC) voted to cut the Federal Funds rate by 25 basis points (bps), to a target range of 3.75%-4.00%. This marks the second cut in 2025, following ongoing concerns about the weakening U.S. labor market and rising unemployment. In...
  7. News

    Chatham Financial Appoints Mike Noonan as Managing Director, Execution & Analysis

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    Chatham Financial, a global leader in capital markets technology and advisory, today announced the appointment of Mike Noonan as Managing Director, Execution & Analysis.
  8. Webinar

    Capital Markets Trends and Strategies 2026

    Below, watch our exclusive expert panel have a discussion on how leading financial professionals are conquering complexity and seizing opportunity. This isn't just a webinar; it's a deep dive into the insights and strategies you need to thrive. Whether you're exploring refinancing, seeking new...
  9. Webinar

    Replay: Semiannual Market and Economic Update

    • Real Estate
    • Private Equity
    • Infrastructure
    • Corporates
    • Financial Institutions
    • Insurance
    • Investment Banking
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Commodity Risk Management
    • Hedge Accounting
    • Valuation
    • Debt Management
    • Asset Platform
    • Regulatory Compliance Advisory
    • Defeasance & Prepayment
    • Fiscal & Monetary Policy
    • Technology
    Below, watch Jackie Bowie and Amol Dhargalkar discuss the risks and opportunities in today’s capital markets. They examined how real estate, private equity, and corporate finance leaders are managing macroeconomic shifts, geopolitical developments, and technological innovation to strengthen...
  10. Article

    BoE holds rates amid high inflation, ECB signals policy on hold

    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Real Estate
    The Bank of England left the Bank Rate unchanged at 4.00% today as expected. Seven of the nine monetary policy committee (MPC) members voted to keep rates on hold, while two favoured another 25-basis-point cut. The MPC also announced a slowing in quantitative tightening to £70bn of gilt...
41-50 of 659 results