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By Jeff Green, Bloomberg |
July 12, 2012
P&G, Philip Morris cite currency as culprit for weaker second-quarter results.
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By Chris Burritt, Bloomberg |
June 25, 2012
S&P 500 companies seen reporting average 1.1% drop in Q2 earnings.
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By Ye Xie and Michael Patterson, Bloomberg |
June 25, 2012
Biggest depreciation for emerging markets since 1998 is expected to worsen.
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By Steve Matthews and Jeff Kearns, Bloomberg |
June 20, 2012
Program aims to lower borrowing cost by extending maturity of the Fed’s portfolio.
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By David Welch, Bloomberg |
March 14, 2012
Company's planned earnings restatement could violate debt covenants.
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By David Welch and Lauren Coleman-Lochner, Bloomberg |
February 9, 2012
Company restates earnings after investigation of payments to walnut growers.
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By AT&T and Freeport-McMoRan each sell $3 bln of debt. |
February 9, 2012
AT&T and Freeport-McMoRan each sell $3 bln of debt.
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By Zeke Faux and Mary Childs, Bloomberg |
February 6, 2012
Central bank’s purchase of longer debt helps borrowers like P&G pay lower rates.
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By Tim Catts, Bloomberg |
February 2, 2012
Issuance hit $17.6 bln Wednesday as companies lock in falling yields.
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By Cotton Timberlake, Bloomberg |
January 31, 2012
Cramb departs amid internal investigation into bribery, company says.