Urgent.News

What's breaking now, across thousands of outlets.

Finance & Markets

Goldman Sachs Is Wary of Long Bonds With More Volatility Likely

Investors should continue to treat bonds with caution even as the selloff bolsters the case for holding them in multi-asset portfolios, according to strategists at Goldman Sachs Group Inc.

We haven't written up this one. Bloomberg has the full story — the link below goes straight to it.

Read the original at bloomberg.com →

More in Finance & Markets

How Risk-Taking Could Result in Higher Growth for Indonesia

LPEM UI believes that Indonesia's economic growth stagnated at 5 percent due to rigid financial governance.

  • Indonesia's financial governance needs reform to allow risk-taking for higher growth.
  • Current system, shaped by 1997 crisis, is overly cautious, limiting economic potential.
  • Focus should shift to decision-making procedures, not just profit and loss, to maximize benefits.

More from Thursday 17 September →