Bonds
A bond-market cockpit for judging credit risk and relative value — where spreads sit across ratings and sectors, which bonds and issuers look mispriced, and what one bond actually pays you.
Read the market's credit mood: how much extra yield each rating tier demands, which sectors and issuers are on the move, and how much stress is building in high yield.
Narrow the entire bond universe to a short list worth pricing, filtered by credit quality and terms and ranked by how well each bond compensates you for its risk.
Judge one issuer's whole credit picture at once — how its own bonds price against each other, how the bond market's read compares to the CDS market's, and where its refinancing risk sits.
Underwrite one specific bond: its true yield after the worst redemption path, how much its price moves per basis point, and what holding it actually earns you.
The market-wide read on credit conditions: where yields and spreads sit by rating and sector, and whether stress is building in high yield.
Turns the full bond universe into a short list — filter by credit quality and terms, then rank what's left by how well it pays you for its risk.
One issuer's credit picture end to end: its own bonds priced against each other, its CDS market compared with its bond market, and its refinancing wall.
Everything needed to underwrite one bond: its true yield, its price risk, what it pays you to hold it, and how easily you could trade it.
Click a populated rating/maturity reading in the Market view to jump into the Screener already filtered to that rating and maturity.
Click through from the high-yield distress reading to open the Screener pre-filtered to distressed high-yield bonds.
Click a mover in Wideners/Tighteners, or an issuer name anywhere, to open that issuer's full picture.
Click any bond in the Screener, or a pick from an issuer's curve or its own-bond comparison, to open that bond's underwriting view.
In the Issuer view, click a CDS metric to pull up its history.