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By Craig Torres, Bloomberg |
June 18, 2012
With high U.S. unemployment and financial stress in Europe, the Fed is expected to move toward a risk management strategy.
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By Craig Torres, Bloomberg |
June 18, 2012
Policy makers could shift to ‘risk management’ strategy as downside risks increase.
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By Craig Torres, Bloomberg |
January 25, 2012
Central bank expects continued high unemployment, subdued inflation.
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By Craig Torres, Bloomberg |
September 8, 2011
Policy makers could decide to lengthen maturity of Fed portfolio at September meeting.