Bloomberg for Fixed Income, Currencies and Commodities
Register below for any or all of our upcoming FICC series, which will focus on various aspects of the Rate, F/X and Commodity markets. The series will range from workflows around Treasury for Banks and Corporates, covering Trading and Execution, Risk Management, ALM, Hedging, Funding and Financing through to specific segments of the market including Government Auctions, Money Markets, Energy Transition, and Derivatives.
On Demand
Using ASKB for Macro and News
August 27, 2026
Virtual
Description
Discover how to use Bloomberg ASKB to transform macro, central bank and market information into structured, source-linked analyses.
In this webinar, Michele Ghidoni will focus on the thought process behind designing practical ASKB workflows, moving beyond generic questions to build customised prompts tailored to a specific role, audience and objective.
Through practical use cases and tips and tricks, participants will learn how to make ASKB a more effective assistant for Macro and News workflows.
Using ASKB with COT data
August 20, 2026
Virtual
Description
Discover how Bloomberg ASKB can transform Commitment of Traders analysis into a faster, more automated workflow. In this webinar, we will demonstrate how to use ASKB to retrieve the latest COT data, identify significant weekly and seasonal positioning shifts across commodity markets, and monitor changes across all trader categories. You will also see how the workflow can be scheduled to run automatically, helping you uncover positioning extremes, spot emerging trends and turn regulatory data into actionable market intelligence with minimal manual effort.
Zinsen im Spannungsfeld von Geopolitik und Makrofaktoren
August 19, 2026
Virtual
Description
Geopolitische Ereignisse verändern die Marktperspektiven in kürzester Zeit – Kapitalströme, Inflationserwartungen nund die Entwicklung von Zinsen und Assetpreisen. Für Investoren geht es daher um mehr als nur darum, informiert zu bleiben: Entscheidend ist, relevante Signale vom Marktrauschen zu trennen und zu verstehen, wie sich geopolitische Risiken auf die Märkte übertragen. Erfahren Sie in unserem Webinar, wie sich geopolitische Entwicklungen aus Markt- und makroökonomischer Perspektive mit KI fundiert und effektiv einordnen lassen. Sehen Sie, wie Bloombergs Echtzeit-Nachrichten, Marktdaten und Analytics in einem strukturierten KI Prozess zusammengeführt werden können – vom ersten Ereignis, etwa einer Krise in der Straße von Hormus, und der unmittelbaren Marktreaktion bis hin zur fundierten Bewertung möglicher Auswirkungen auf Anlageentscheidungen.
When Global Events Move Markets, Are You Ready?
June 18, 2026
Virtual
Description
Geopolitical tension is fueling oil price volatility, adding fresh pressure to inflation and increasing the likelihood of further central bank action on rates.In this webinar, we’ll unpack how these market forces connect, what they could mean for portfolios, and how Bloomberg can help you monitor risk, identify exposures, and make more informed decisions in a fast-moving rate environment.
After this session, you will be equipped to:
- Use Bloomberg AI tools to surface instant insights
- Discover key economic and geopolitical reports to identify current market drivers
- Explore Bloomberg geopolitical risk data used by governments and businesses to assess exposure across companies and supplier networks
- Analyze the forces behind inflation and get insights into different forecast models
- Understand different forecast models for interest rate and central bank policy decisions
- Model how economic, market, and policy shocks impact growth, inflation, and monetary policy
- Apply scenario analysis to your portfolio to manage risk in uncertain times
Transparency in Money Markets for the first time in 20 years
April 23, 2026
Virtual
Description
Money Markets provide a mechanism for governments, corporations, and financial institutions to manage their short-term financing requirements efficiently. They also serve as a critical tool for central banks to implement monetary policy by influencing liquidity and interest rates.
In this webinar we are going to uncover all the major projects and initiatives aimed at making, once and for all, money markets transparent and more automated.
Clarity in Complex FX Markets
March 26, 2026
Virtual
Description
With central banks moving on divergent paths and geopolitical and fiscal dynamics reshaping global markets, FX participants are operating in an increasingly fragmented landscape.
In this webinar, we examine how the Bloomberg Terminal can help cut through the noise - enabling users to identify key macro drivers, analyze FX volatility, and interpret market pricing with clarity and precision.
Topics include:
- AID / News analytics
- BECO models
- WIRP
- VCA / FXFM
- FRD / OVML
Mastering Currency Risk in The Bloomberg Terminal
March 19, 2026
Virtual
Description
Join us for an in-depth seminar focused on navigating market risk amid today’s rapidly evolving landscape—marked by geopolitical tensions, rising global debt, and volatile commodity prices. This webinar is designed for clients interested in strengthening their risk-management capabilities using powerful Bloomberg Terminal functions. We’ll begin with an overview of current market conditions, with a strong emphasis on volatility. From there, we’ll explore derivatives pricing and associated risks, including the use of stress scenarios. Finally, we’ll take a hands-on approach by building custom stress scenarios and applying them to portfolio management within MARS, helping you translate market insights into actionable risk decisions.
Navigating Liquidity and Uncertainty: Safe Haven Assets in 2026
February 24, 2026
Virtual
Description
As geopolitical tensions escalate and monetary policy uncertainty intensifies, investors are increasingly turning to traditional safe haven assets for portfolio protection. Gold has surged past $4,600 per ounce to record highs, silver has broken above $90 for the first time, and mining stocks have jumped 12% in early 2026—outpacing broader equity markets.
What you'll learn:
- Current Safe Haven Landscape: Understand which assets are attracting capital flows right now—from precious metals hitting all-time highs to alternative fixed income plays like German bunds
- Key Market Drivers: Explore the forces propelling safe haven demand, including Federal Reserve independence concerns, geopolitical flashpoints in Iran and Venezuela, and the ongoing trend toward de-dollarization among central banks
- Gold & Silver Outlook: Analyze why analysts are forecasting gold to reach $5,000/oz by year-end and silver to average $58/oz, with insights into central bank buying patterns and investment demand dynamics
Navigating Rates and Equities in 2026 with Bloomberg
February 4, 2026
Virtual
Description
Join Bloomberg experts as they explore Terminal functions, the BQuant platform, and AI tools to navigate shifts across global rates and equity markets in 2026. We will highlight Bloomberg analytics across equity cash and derivatives that can help you identify when the market is approaching cyclical peaks. The session will also showcase new tools to track monetary policy divergence and capitalize on the resulting rates market dislocations, in the context of the traditional Q1 issuance surge.
Voluntary Carbon Market Update Q1 2026
January 28, 2026
Virtual
Description
The voluntary carbon market isn’t dead — but it’s maturing, concentrating, and getting more selective.
2025 marked a cautious comeback, with demand rebounding, prices stabilizing, and buyers shifting toward higher-quality removals. Join BNEF’s Lead Carbon Credit Analysts for their latest market outlook, and see how the Bloomberg Terminal can be used to track carbon projects, pricing trends, and evolving market dynamics heading into 2026.
OPX for Options on Commodities Futures
December 11, 2025
Virtual
Description
Join us for a webinar on using the Bloomberg Terminal to analyze options activity. With OPX, we’ll show how to view trading flows across single- and multi-expiry options to identify liquidity trends and anomalies.
We’ll also demonstrate how to use a BQNT example app—Options Open Interest Comparison—which provides two interactive panels visualizing commodity option open interest or open interest changes across expiries.
Topics:
- Navigating OPX and its core features
- Using single-expiry vs. multi-expiry views for deeper analysis
- Exploring the BQNT “Options Open Interest Comparison” app
- Identifying shifts in open interest to understand trader positioning
A New Edge in Volatility and Correlation Analysis on the FX Market: Unleash the Power of BQNT
December 4, 2025
Virtual
Description
This beginner-friendly session is designed for FX investment professionals seeking to unlock the full potential of Bloomberg data through scalable, transparent, and collaborative workflows that go beyond traditional Excel-based analysis.
Whether you work at a bank, fund, or corporate institution, BQuant empowers you to streamline research, perform volatility and correlation analysis, build custom dashboards, and develop repeatable models — all within an intuitive, Python-based environment seamlessly integrated with Bloomberg Terminal data.
Using real-world FX examples, we’ll demonstrate how to leverage BQuant to create dynamic data requests, visualize volatility and correlation trends, and construct an advanced FX workflow — one that can later be transformed into a fully interactive application accessible directly within the Bloomberg Terminal.
Central Banks: How to Monitor Expectations and Forecasts
November 25, 2025
Virtual
Description
Please join our Macro Market Specialist, Michele Ghidoni, to analyse expectations and forecasts of Central Banks decisions using the latest Bloomberg terminal functions, Excel templates and BQuant.
Topics to be covered:
- Interest rate projections for G10 and EM
- Monitoring expectations priced in and their changes over time
- Viewing analysts' forecasts for rates and inflation
- Analysing Central Bank Speak
Pricing and Analysing Derivatives & Structured Products on the Terminal
November 20, 2025
Virtual
Description
Join us in for an exclusive webinar on Pricing and Analysing Derivatives & Structured Products on the Bloomberg Terminal leveraging DLIB. This session will offer practical guidance on using DLIB to efficiently create, price and analyze derivatives and structured products. We will walk you through essential workflows, market applications, and best practices designed to enhance both decision-making and client engagement. This seminar will cover:
- The full scope of DLIB
- Breadth of coverage of asset classes and products
- Pricing, risk-analysis and monitoring Structured Products/Derivatives
- Scripting your own structured products
- Backtesting, stress-testing, and calculation of key probabilities
- Structured products in MARS (multi asset risk system)
A New World of European Bond Market Transparency
November 13, 2025
Virtual
Description
From a trickle to a firehose - the European version of TRACE will coincide with a dramatic increase in speed of transparency. Today 4.5% of EU corp bond trades are published real-time. From March 2026, 96% will be published within 15 minutes.
This webinar will cover:
- A global view of consolidated tapes
- How Bloomberg will surface the data in our core functions
- How CTP data will be used in IBVAL
Ai-Powered FX Intelligence: From Central Bank Sentiment to Market Pricing
November 6, 2025
Virtual
Description
In today’s volatile environment, FX markets are back in focus. Effective hedging requires sharper insights.
This webinar highlights advanced FX analytics powered by quantitative methods and AI.
We’ll cover:
- AI & NLP for Central Bank Sentiment – Use natural language processing to gauge global central bank signals and anticipate rate paths.
- FX Forecasting & Risk – Translate forecasts and option-implied volatility into probabilities to assess FX scenarios.
- Custom Analytics with BQuant – Build tailored FX tools using Bloomberg’s BQuant technology.
Join us to learn how AI, quant models, and Bloomberg analytics can sharpen FX strategies.
Rates: Latest Additions to Relative Value, Pricing and Central Bank Analytics
September 10, 2025
Virtual
Description
Please join our Rates Market Specialist, Oliver Carter, to explore the latest Bloomberg tools for Rates market participants. We will explore how our new analytics platform (BQuant) can enhance your relative value work, plus new AI-driven tools for rates market pricing and for evaluating central banks.
Redefining Global Risk: Risikofaktoren Effektiv Antizipieren und Steuern mit KI-Analytik
August 7, 2025
Virtual
Description
Die globalen Märkte sind zunehmend disruptiven Risiken ausgesetzt – von geopolitischen Spannungen bis hin zu wirtschaftlicher Unsicherheit infolge von Handelsstreitigkeiten. In diesem dynamischen Umfeld sind Geschwindigkeit bei der Informationsverarbeitung, Kontext und datengestützte Entscheidungsfähigkeit ausschlaggebend.
Sehen Sie wie Bloomberg-Lösungen Ihnen helfen können, die wachsende Komplexität effektiv zu bewältigen, relevante Informationen effizient zu extrahieren und zielgerichtet fundierte Entscheidungen zu treffen.
Agenda
- Effektivere Datenverarbeitung: Relevanz erkennen – schneller handeln:
Die Informationsflut wächst – doch nicht jede Nachricht ist entscheidend. Wir zeigen, wie Sie mithilfe KI-gestützter Tools relevante Marktinformationen und Nachrichten filtern, einordnen und bewerten können, um gezielter zu agieren.
- Alternative Wirtschaftsindikatoren & KI-gestützte Makroanalyse
Erfahren Sie, wie alternative Datenquellen und KI-gestützte Analysemodelle Ihnen helfen, makroökonomische Entwicklungen frühzeitig zu antizipieren – und welche Indikatoren besonders wertvoll für Ihre Marktstrategie sind.
- Szenarioanalyse & Risikosteuerung mit Bloomberg
Wie robust sind Ihre Investments und Exposures gegenüber geopolitischen Schocks und geldpolitischen Veränderungen? Lernen Sie Tools kennen, mit denen Sie potenzielle Szenarien modellieren, deren Auswirkungen auf Ihre Positionen simulieren und frühzeitig Maßnahmen zur Risikosteuerung ableiten können.
Money Markets: Monitoring, Analyzing and Trading MM Products
May 21, 2025
Virtual
Description
Short Term rates are still attractive. Yields curves are still inverted in the 1/2Y space. Many Corporate and Financial institutions are keeping large sums of money in cash equivalent products and MMF due to political and economic uncertainties.
In this webinar we are running through the most popular Money Market products (Repo, ECP/CDs, Bills, ST bonds and Deposits) covering Monitoring, Rel Val and Trading.
Topics:
- MM monitoring tools BTMM USSW W
- Central Banks activity monitoring WIRP CENB W etc
- Short Term Ratings - RATC RATD RATT
- REPO - RRRA RPMV BOLT CTRB
- ECP - ECPX MMF
- T-BILLS NIA FIT
- Deposits W CTRB FXGO
2025 In-Focus: Oil and Refined Products
April 3, 2025
Virtual
Description
Explore the latest oil market trends, the outlook for refining, and other key themes and insights. Join Bloomberg experts to learn about the current market dynamics, and how to analyse them using Terminal data and functions.
Topics include:
- ECAN and inflation
- Supply and demand analytics
- Refinery margins and fair values
- Seasonality
Managing FX Uncertainty
March 13, 2025
Virtual
Description
Against a backdrop of continued economic uncertainty, how can you can create a decisive advantage in today’s FX market? Join our webinar to discover the latest tools for economic data analysis, market valuation and expectation, and risk management to ensure you're prepared to thrive in 2025’s dynamic global landscape.
Topics include:
- BECO / ECAN / WIRP
- VCA / FXFM / OVML
- Creating scenarios & implementing in MARS for stress testing analysis
- Latest AI developments & AID
Pricing FX Options: Tips & Tricks
February 27, 2025
Virtual
Description
Take a deep dive into Bloomberg’s FX options tools and learn how to find, analyze and price trade ideas on the FX options market. In this webinar, our experts will provide a practical walkthrough of OVML, sharing insights on how to enhance your workflow and overcome pricing and volatility challenges.
- Volatility analytics on the Terminal
- Volatility surface in OVDV
- Pricing options and structures in OVML
- FX options portfolio management in MARS
Effectively Navigate Rates and Equities in 2025
January 23, 2025
Virtual
Description
It is expected that 2025 will be a year during which central banks continue to cut rates, equities go sideways, and volatility moves lower. However, as considerable uncertainty remains are there risks to this view for both asset classes?
Join our experts as they delve into useful Bloomberg terminal functions and AI tools to help you navigate market risks and anticipate sudden shifts to provide you with a clearer view.
- Rates market monitoring & rates relative value analytics
- Government bond auctions
- Latest AI tools in both rates & equities