Maybe, suggests this strategist after seeing insane action in one stock following a tweet from Tesla CEO Elon Musk. But, in the words of Federal Reserve Chair Jerome Powell, these deals avoided turning “liquidity problems into solvency problems” for brand-name American companies. Free to access corporate bond prices and information. Amazon and Walmart have found that for some goods, it is often cheaper to refund the purchase price and let customers keep the products. Invaluable data, endless opportunities: We create reports from market data for general use. Will Bank Of America Stock Reach $50 By 2022? Corporate bond market liquidity under normal (i.e. He is also a CFA charterholder. 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Central bankers’ taper talk last week might have been the first shot across the bow.This column does not necessarily reflect the opinion of the editorial board or Bloomberg LP and its owners.Brian Chappatta is a Bloomberg Opinion columnist covering debt markets. The credit terms for bonds, such as the rate of return, term and redemption, are defined precisely in advance. Its primary goal is to provide long-term funding for public and private expenditures. Better-than-expected jobless claims last week helped lift market sentiment and bank stocks have been increasing in sympathy with the positive news.See Also: Best Bank Stocks.Survey SaysBank of America trades around $33, off the 52-week low of $18, and 54% of Benzinga readers believe Bank of America will reach $50 per share over the next year.Many respondents noted as long as stimulus funds continue to get distributed among Americans, there will be liquidity in the economy. Bonds Market In India: Get the Live Bond Price/Quote/Rate for Bonds listed in BSE/NSE. Bitcoin fell sharply early on Monday, having failed to establish a foothold above $40,000 over the weekend. This is usually in the form of bonds, but it may include notes, bills, and so on. But what happens when that logic is turned on its head? PhD who called Dotcom Crash and housing boom just predicted the biggest financial shift in 20 years. This is called the maturity date. The company also authorized a one-time special distribution, in connection with its shift to REIT status; its purpose was to put the company in compliance with income return regulation during tax year 2020. “In the second half of the year we may be on the lookout for some consumer price inflation which would not be good for overvalued assets,” Yardeni noted.The warning sign to look for is higher yields in the Treasury bond market. All rights reserved. Bermuda-based DHT operates a fleet of 27 crude oil tankers, all rated VLCC (very large crude carrier). At the current dividend rate, the yield is 9.5%, far higher than the average among financial sector peer companies.Analyst Craig Kucera, of B. Riley, believes that CTO has plenty of options going forward to expand its portfolio through acquisition: “CTO hit the high end of anticipated disposition guidance at $33M in 4Q20, bringing YTD dispositions to nearly $85M, with the largest disposition affiliated with the exercise of a tenant's option to purchase a building from CTO in Aspen, CO. Post these dispositions, we estimate >$30M in cash and restricted cash for additional acquisitions, and we expect CTO to be active again in 1H21.”To this end, Kucera rates CTO a Buy along with a $67 price target. NSE Gainer-Large Cap . This lack of liquidity — or at least the lack of trades — in the corporate bond market creates some issues because it’s hard to price bonds that are not traded. Bonds/Debentures Traded Today, Infrastructure/Govt/Tax Saving/Corporate Bonds 2021, List of Bonds … 5Y Return. Bonds market data, news, and the latest trading info on US treasuries and government bond markets from around the world. As of late April, 1,287 issuers worldwide rated between AAA and B- by S&P Global Ratings were considered at risk of a potential downgrade, up from 860 in March and 649 in February. If the Fed eases up on the low-rate policy, Yardeni sees Treasuries reflecting the change first.A situation like this is tailor-made for defensive stock plays – and that will naturally bring investors to look at high-yield dividend stocks. Before being issued to investors, bonds are reviewed for the creditworthiness of the issuer by one or more of three U.S. rating agencies: Standard & … The Tax Cuts and Jobs Act of 2017 made major changes to the tax code and were a mixed bag for some households. Lordstown reported more than 100,000 commercial preorders for its Endurance EV pickup while Faraday plans to go public via SPAC. Here’s Where We Think You Should Invest. Holly Energy Partners is a midstream transportation player in sector, providing pipeline, terminal, and storage services for producers of crude oil and petroleum distillate products. The income properties are mainly shopping centers and retail outlets. (Bloomberg) -- A two-word app recommendation from Elon Musk has turned into a massive rally in the shares of a tiny medical device company in another case of mistaken identity.“Use Signal,” the Tesla Inc. chief executive officer wrote on Twitter on Jan. 7, apparently referring to the encrypted messaging service. In the wake of the financial crisis of 2007-2008, Bank of America underwent a downsizing program from 2011 through 2014 to improve its balance sheet, reduce risk, streamline its operations and focus more on mobile banking.More recently, shares of several global financial services companies are trading higher amid a rise in yields. It’s Going Be a Tougher Year for Cloud Stocks. This supported a 35-cent dividend payment per regular share, or $1.40 annualized. Tightening financing conditions contributed to a 24% decline in U.S. corporate bond issuance in 2018. A company with more debt presents a greater risk of missed interest payments than if it had fewer fixed obligations. Subscribe now to stay ahead with the most trusted business news source. Holly reported at distributable cash flow – from which dividends are paid – of $76.9 million, up more than $8 million year-over-year. I wrote on March 19 that bond markets were veering into a vicious cycle that could get ugly in a hurry — four days later, the Fed announced what would end up becoming a $750 billion backstop for corporate America. Squawk Box Asia. Investors could be pocketing gains of 18%, should Lai’s thesis play out over the coming months. The S&P 500 Index wobbled on Monday as yields climbed past 1.13% but remained relatively resilient considering the sharp drop in Bitcoin and Tesla. But the undertone from last week’s round of speakers could be interpreted as an early sign that the the Fed’s third mandate beyond maximum employment and stable prices — financial stability — is starting to weigh on some policy makers heading into 2021 as the stock market gets compared to a lucky slot machine.It’s one of the only explanations I can come up with for why Fed officials would bring up reducing their asset purchases — and possibly sooner than investors were expecting — when the U.S. labor market lost 140,000 jobs in December and the central bank’s preferred measure of inflation is around 1.4%. For businesses that had been ravaged by the coronavirus pandemic and the ensuing nationwide lockdowns, access to capital markets was a lifeline to get through the worst of the economic collapse. As noted in a previous post, Thill on Monday issued a list of his top internet stock picks—and some forecasts for 2021. Following the recent annual Nio Day event, J.P. Morgan analyst Nick Lai counts “four strategic milestones,” why he believes Nio will “continue to trade more like a fast-growth technology/EV stock than a carmaker.”These include the pivot away from the existing products’ Mobileye EQ4 solution to an in-house autonomous driving (AD) solution based on Nvidia architecture. “It could cause disruption in the markets if we try to do it too soon,” he said. The more we see of such crazy behavior, the more we should prepare to take evasive action against a true investment bubble.” Or cryptocurrencies, from Scott Minerd, chief investment officer with Guggenheim Investments: “Bitcoin’s parabolic rise is unsustainable in the near term.” More broadly, Bank of America Corp.’s checklist of signals that historically indicate an impending bear market correction in risk assets is starting to fill up.Now, the central bank hasn’t said directly that it’s worried about the surging price of Tesla shares and Bitcoin, and it likely never will. Our easy to use tools give you in-depth information on shares you own. A solid-state battery for the next new model - an ET7 sedan - boasting 150kwh capacity or range of more than 1,000km, and the “commercialization of LiDar to deliver super-sensing capability on ET7.”Most intriguing of all, however, will be the “beginning of content monetization – e.g. Forget About Salesforce, Analyst Says. Can I still buy a home. VIDEO 02:57. FEATURED FUNDS ★★★★★ Axis Focused 25 Direct Plan-Growth. All three major indexes have recently surged to all-time highs as investors seemingly looked beyond the pandemic and hoped for signs of a rapid recovery. Cloud computing had a huge year in 2020, and the trend should continue in 2021, as businesses shift more of their computing resources out of proprietary data centers to public clouds operated by (MSFT) (ticker:MSFT), (GOOGL) (GOOGL), and others. Get 50% off. The vast majority of the $1 trillion in borrowing so far this year was by no means imprudent. GBP corporate bond prices, yields, coupons and charts. Shares of the Rosharon, Texas-based company surged as much as 885% on Monday before paring the gains.“We strongly recommend people do their due diligence and always invest with care,” the company’s chief executive officer, Dr. Chris Hymel, said when reached by phone on Monday. The coronavirus has … The content is intended to be used for informational purposes only. But what about the longer-term view? Lower interest rates mean that you can save real money on your mortgage. That was enough to push Signal Advance’s rally more than 5,100% in three trading days giving it a market valuation of $390 million.Despite reports about the confusion on Friday, the stock has continued to rally. EPS, at 32 cents, was a dramatic yoy turnaround from the 6-cent loss posted in 3Q19.DHT has a history of adjusting its dividend, when needed, to keep it in line with earnings. It’s worth remembering that until the Fed stepped in with extraordinary support for credit markets, averting widespread failures was far from guaranteed. We expect spot rates to improve again during 2021E, shortly after oil demand has normalised. For more articles like this, please visit us at A genius geochemist has stumbled upon what could wind up being one of the world’s next great oil finds, worth potential billions at today’s prices. Lordstown stock jumped. Fortunately, for much of the previous expansion, firms had no issue finding investors willing to buy their long-term securities. Investors Are Buying Stock In Tesla, Nio And Pfizer With Stimulus Checks(C) 2021 For the latest corporate bond market news from financial news sources, click here. From my Bloomberg Opinion colleague John Authers: “The risks far outweigh the potential rewards. And an index tracking a … Bond traders specialize in a certain type of bond—Treasuries, municipal bonds, or corporate bonds. $1 Trillion of Corporate Bonds Today, Downgrades Tomorrow (Bloomberg Opinion) -- The amount of new debt issued this year in the U.S. investment-grade corporate bond market will … The rating companies haven’t been quite as keen to react to high leverage metrics. popular searches {{ item }} recent searches {{ item }} Markets. Investors looking to offset risk have typically turned to bonds. Bond Markets Embrace Fed’s Latest Debt-Buying Programs Yields on government and some corporate debt fell after the Federal Reserve unveiled a broad array of interventions In the years ahead, however, the overhang from this issuance spree will inevitably weigh down credit ratings. The top line that quarter fell from $245 million to $142 million. De très nombreux exemples de phrases traduites contenant "corporate bond market" – Dictionnaire français-anglais et moteur de recherche de traductions françaises. (CRM) was a cloud software pioneer. Has the stock market lost its mind? This column does not necessarily reflect the opinion of the editorial board or Bloomberg LP and its owners. Last year was supposed to be the beginning of a broad “debt diet” among companies that borrowed huge sums to finance mergers and acquisitions during the longest expansion in U.S. history. His $7.40 target price suggests that this stock can grow 34% in the months ahead. But Here Are 10 You Can Buy. The content is intended to be used for informational purposes only. Here’s a selection of recent bond market news items about or featuring comment from our own authors: Handelsblatt, April 2020 . “There will be a point at which it’ll be much healthier for the economy and for the markets to be weaning off some of these extraordinary measures,” he added.And Chicago Fed President Charles Evans:“It could be the case that things are going a lot better, and we do end up doing some type of tapering” in late 2021 or early 2022, he tells reporters on a conference call.That is a lot of taper talk all of a sudden. Markets ended 2020 on a high note, and have started 2021 on a bullish trajectory. We also help make the news. For better or worse, with the confidence that the Fed has their back, that seems like a risk investors are willing to take. During the third quarter, the most recent reported, CTO sold off some 3,300 acres of undeveloped land for $46 million, acquired two income properties for $47.9 million, and collected ~93% of contractual base rents due. Brian Chappatta is a Bloomberg Opinion columnist covering debt markets. It is very important to do your own analysis before making any investment. Corporate bonds have historically made up 18 to 20% of the total U.S. bond market, but many actively managed funds have held much higher weightings in the environment of ultra-low yields on government bonds. (To watch Kucera’s track record, click here)Overall, CTO has 3 reviews on record from Wall Street’s analysts, and they all agree that this stock is a Buy, making the analyst consensus of Strong Buy unanimous. While it’s foolish to predict an exact level at which financial markets would find equilibrium, a simple chart of the past five years would suggest a move in 10-year yields to the pre-2020 record low of 1.32% would serve as an interesting test of stock-market strength. Discover the world’s international exchange, What should you consider before investing, Conflict of interest policy & UK bribery act. ASX Enter Keyword for Search. Create a virtual portfolio testing out new strategies. It is very important to do your own analysis before making any investment. That’s not far off from the S&P 500’s dividend yield at this point.The typical thinking among bond traders just a short time ago was that the Fed would step in to halt a sustained move higher in yields. (See NIO stock analysis on TipRanks)To find good ideas for EV stocks trading at attractive valuations, visit TipRanks’ Best Stocks to Buy, a newly launched tool that unites all of TipRanks’ equity insights.Disclaimer: The opinions expressed in this article are solely those of the featured analyst. Moynihan has served as CEO since 2010.This survey was conducted by Benzinga in January 2021 and included the responses of a diverse population of adults 18 or older.Opting into the survey was completely voluntary, with no incentives offered to potential respondents. Markets Insider The electric vehicle boom has taken a much bigger piece of the stock market, but there is still plenty of upside for savvy investors who know where to look. Now, no one can truly expect companies to focus on right-sizing their debt. The iShares iBoxx $ Investment Grade Corporate Bond ETF (LQD) was up 5.5% Monday afternoon. The study reflects results from over 800 adults.Photo credit: Mike Mozart, FlickrSee more from Benzinga * Click here for options trades from Benzinga * Got 0? Get daily updates - and never miss an opportunity, Create portfolios to test your strategies and track your shares, Research the shares you think could deliver values. Thill notes that as a group software outperformed the S&P 500 by 36 percentage points, the biggest gap in 20 years. Short-term bonds typically act as a haven in turbulent times. Bonds are traded on the bond market. The confirmation of Joe Biden as U.S. President and recent Democratic victories in Georgia has also helped alleviate some political gridlock concerns and raise additional stimulus optimism. VIEW ALL RESULTS . Extra Money in Your Bank Account? As recently as a month ago, many expected the central bank to alter its asset purchases and buy more longer-dated Treasuries. The general policy is a positive for dividend investors, however, as the company has not missed a dividend payment in 43 consecutive quarters – an admirable record. 19.3 % Invest Now. On January 4, 2021 By Balmoon. Ford Motor Co., Kraft Heinz Co., Macy’s Inc. and Occidental Petroleum Corp. are just a few of the “fallen angels” that lost their investment grades earlier this year. Handelsblatt, March 2020 . Benchmarks . Get updated data about global government bonds. FEATURED … Investors Plowed Into the Wrong one, 3 tech stocks that are on fire in 2021 (hint: Apple isn't one), Bitcoin Plummets as Miners Sell Inventory, Spot Markets Panic. The Corporate Bond Market Is ‘Basically Broken,’ Bank of America Says BlackRock’s ETF for investment-grade corporate bonds has seen steep price declines amid coronavirus fears. The U.K.'s financial regulator on Monday issued a very blunt warning about the rise of bitcoin and other cryptocurrencies. (To watch Lai’s track record, click here)Nio has decent support amongst Lai’s colleagues, but its current valuation presents a conundrum. Tesla stock dived amid a potential climax top. Here’s Philadelphia Fed President Patrick Harker on tapering:“I could see, potentially, that occurring at the very end of 2021 or early 2022. That practice of rolling over debt and extending maturities might very well be the norm in the months and years ahead, too. Thu, Aug 20th 2020. watch now . He previously covered bonds for Bloomberg News. Oil prices sapped by rising virus cases; anticipated drop in U.S. inventory stems losses, Missing Chips Snarl Car Production at Factories Worldwide, Asia Stocks Mixed After U.S. Drop; Dollar Firms: Markets Wrap, IMF says board approves $487.5 million disbursement to Angola, Silver Lake in talks for stake in New Zealand's All Blacks - source, Elon Musk tweet sends this stock up 1,500% in 24 hours — may be a sign of market bubble, The World’s Next Giant Oil Discovery Could Be Here, "Little-Known Tech" Behind Electric Vehicle Boom, Elon Musk Told Twitter to 'Use Signal.' Signal Advance doesn’t have an association with Musk or the Signal app, he said.Signal Advance hasn’t filed an annual report with the Securities and Exchange Commission since 2019. Buy) rating. “So, I have many degrees of caution on this, to just be steady as she goes until we start to really see the economy healing.”And Atlanta Fed President Raphael Bostic:“In our statement, we said we wanted to make significant progress towards the goal. Eli Lilly stock rocketed to a record high Monday after the pharmaceutical company said its experimental drug slowed cognitive decline in a Phase 2 test of patients with Alzheimer's disease. (See HEP stock analysis on TipRanks)DHT Holdings (DHT)Midstreaming is only one part of the global oil industry’s transport network. Perhaps it’s because Democrats swept the Georgia elections, raising the likelihood that more fiscal aid will turbocharge the economy faster than if Congress were divided. Investors pulled a staggering $35.6 billion and $38 billion from investment-grade funds in the weeks ended March 18 and March 25, respectively. Not only does that seem to be off the table, but, as minutes of the December meeting showed last week, there’s a serious effort to think about how best to scale back asset purchases. (Bloomberg Opinion) -- The Federal Reserve isn’t happy about the pervasive talk of asset bubbles.Consider Tesla Inc., for instance. )For more articles like this, please visit us at bloomberg.comSubscribe now to stay ahead with the most trusted business news source.©2021 Bloomberg L.P. Semiconductor stocks are rocking. NIO (NIO) opened at a record high this morning after big reveals during the electric vehicle maker’s investor day over the weekend. All rights reserved. JPMorgan Chase & Co. analysts raised their forecast to 1.45% from 1.3%.Cutting through some of the noise, the most crucial guidance last week came from Fed Vice Chair Richard Clarida, who stated: “My economic outlook is consistent with us keeping the current pace of purchases throughout the remainder of the year.” While he said that could change, “it could be quite some time before we would think about tapering the pace of our purchases.”It feels as if that horse is already out of the barn. In addition, the $6.13 average price target puts the potential upside at ~11%. Where should you invest $1,000 right now? These vessels are 100% owned by the company, and range in tonnage from 298K to 320K. Nifty 14,347.25 209.9. The size of the entire corporate-bond market is roughly $8 trillion. I frequently refer back to this feature from Bloomberg News’s Molly Smith and Christopher Cannon, which found that of the 50 biggest corporate acquisitions in the five years through October 2018, more than half of the acquiring companies increased their leverage to a level that would seemingly merit a junk rating but remained investment grade on the assumption that they’d take that leverage down in the coming years. Sure, Carnival Corp. had to offer interest rates like a junk-rated borrower and Boeing Co. needed to include a so-called coupon step-up provision to offset jitters that it could lose its investment grades. Salesforce (CRM), alas, might not be the best way to play it. Triple b corporate bonds look overdone rising corporate debt peril or promise us corporate debts market global bond market of corporate debt one rung above junk. Hence, higher profits leading to the demand for its shares.In general, respondents to our study also expressed confidence in CEO Brian Moynihan, whose leadership helped bring Bank of America back from the verge of extinction following the financial crisis of 2007-2008. Here's why. Most people would probably agree with that assessment, at least for the immediate future as the country grapples with restarting the world’s largest economy. (To watch Haugen’s track record, click here)The rest of the Street is getting onboard. Dividends are usual route of that return.For background, CTO holds a varied portfolio of real estate investments. That didn’t end up taking place on a wide scale. The bond market (also debt market or credit market) is a financial market where participants can issue new debt, known as the primary market, or buy and sell debt securities, known as the secondary market. The bond specifies what interest rate (coupon) will be paid and at which times during the life of the bond and when the principal funds, also known as face value, will be returned. (Bloomberg Opinion) -- The amount of new debt issued this year in the U.S. investment-grade corporate bond market will reach $1 trillion today, by far the fastest pace in history. Unlike with the stock market, there's no centralized exchange for bonds. Zoom Technologies, a Beijing-based maker of mobile phone components, later changed its ticker to ZTNO.The other Signal is a closely held not-for-profit organization with a messaging service that’s similar to Facebook Inc.’s WhatsApp.In response to a comment on Twitter, Musk said he donated to Signal a year ago and plans to give more in the future. REITs have long been known for their high dividend yields, a product of tax code requirements that these companies return a high percentage of their profits directly to shareholders. Market data dashboard - Get the latest stock market news, stock information and charts, data analysis reports, as well as a general overview of the market landscape … The potential economic impacts of the novel coronavirus have been likened to the Great Depression and a more severe version of the 2008 Great Financial Crisis. Corporate Bond Ratings . (Adds comment from Signal Advance chief executive in fourth paragraph. Haugen noted, “With 8 out of 16 vessels ending their TC contracts by end Q1 2021, we believe DHT is well positioned for when we expect freight rates to appreciate in H2 2021E.”Getting into more details, Haugen adds, “[The] main underlying drivers are still intact: fleet growth will be low (1% on average over 2020- 23E) and the US will still end up being a net seaborne exporter of crude oil, making further export growth from the US drive tanker demand. However, the share gains keep coming in thick and fast, and the $52.28 average price target now suggests shares will decline by ~19% over the next 12 months. By the end of the day, Signal Advance Inc. shares had surged more than sixfold. Every week, Benzinga conducts a sentiment survey to find out what traders are most excited about, interested in or thinking about as they manage and build their personal portfolios.We surveyed a group of over 800 investors on whether shares of Bank of America Corp (NYSE: BAC) will reach $50 by 2022.Bank Of America Stock Forecast Bank of America provides banking and financial products and services for individual consumers, small- and middle-market businesses, institutional investors, large corporations, and governments worldwide. About 80% of HEP's distribution is tax-deferred.”Blum gives HEP a $20 price target and an Overweight (i.e. However, even with these headwinds, the level of U.S. corporate debt grew by 3% during the year, and this increase was in line with global credit growth. The Chinese EV maker has seamlessly advanced into 2021, with shares already up by 31% since the turn of year.The company has been a prime beneficiary of the current trend for both EV makers and growth stocks. Graph and download economic data for 10-Year High Quality Market (HQM) Corporate Bond Spot Rate (HQMCB10YR) from Jan 1984 to Nov 2020 about 10-year, bonds, corporate… The one-time distribution was made in cash and stock, and totaled $11.83 per share.The regular dividend paid in Q3 was 40 cents per common share. (To watch Blum’s track record, click here)"Our rating primarily reflects the partnership's steady, fee-based cash flows, robust yield and conservative balance sheet,” Blum added.For the most part, Wall Street agrees with Blum’s assessment on HEP, as shown by the Strong Buy analyst consensus rating. Corporate Bond Market Today. Bonds & Dept: Get Bond Market updates, Government Bonds, Bond Investments and News on The Economic Times. Those expectations seemed ambitious in 2018, when the economy was seemingly invincible. He previously covered bonds for Bloomberg News. Even a success story like AT&T Inc., which made headway in trimming its debt stack, still found itself back in the bond market recently, borrowing $12.5 billion on May 21 in what was the biggest deal since Boeing’s $25 billion blockbuster offering. “I’m definitely open to the possibility that we may pull it back sooner than people expect.”And Dallas Fed President Robert Kaplan:While the pandemic will likely be a drag on the economy “for a good part of 2021,” once the recovery is established and a large part of the population is vaccinated, Fed officials should start to consider “when we can start tapering,” Kaplan said. It’s important to note, however, that the 3Q revenue result was still up 36.5% year-over-year. The popularity of Zoom Video Communications Inc. in recent years resulted in brief surges in the shares of Zoom Technologies Inc., after traders confused its ticker symbol ZOOM with that of the video-conferencing company. All trading is done between individuals, so there's no giant "bond ticker" to show you trades in real time. Consumers would be poised to spend their money and keep some at their bank of choice, including Bank of America, which has a sizable share of the consumer market in terms of deposits.The idea is this would allow Bank of America to have liquidity, in order to loan more money. PI Industries 2,339.65 152.05. While the standard deduction nearly doubled and the child tax credit increased, many other deductions and credits were eliminated. After a sell-off like this, fund managers might not immediately mark down the bonds that haven’t traded in days or weeks.