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S&P 500 closes down 1.2% in worst finish since mid-February and investors rush into Treasuries
Low-rated sovereigns are borrowing again, but restructurings are still . . . weird
An all-time high for the yellow metal is a sign drawdown investors should examine their reasons for holding it
Chatting with a semi-interested American about semi-annual interest
Gold touches fresh record high while oil prices rise
Tight fiscal rules can prevent the kind of investment which has helped the city state to thrive
Fund manager projects Fed will cut interest rates more slowly than other central banks
They’re being too loud
Bankrupt southern African nation moves closer to exiting default with revised bondholder arrangement
Premium puzzles
Demand to lock in yields helps push spreads on high-yield bonds close to their tightest level since 2007
This strategy appears to be the path of least resistance for governments to reduce debt and keep bond vigilantes at bay
With financial risks lurking, Governor Ueda must maintain his cautious approach
Hakainde Hichilema says ‘long overdue’ agreement with China and others given greater urgency by devastating drought
Lawsuit against regulator is latest against chair Gary Gensler’s reform agenda
Debt and climate-change-related crises increase need for International Development Association’s assistance
Yields have fallen in recent months despite warnings over rising deficit
The inversion will continue until morale deteriorates
Gap between the countries’ borrowing costs narrows while investors position for interest rate cuts
Investors turn to investment-grade debt as data points to resilient eurozone economy
The inflation battle may be almost over, but the fiscal war has just begun
Refinancing by economy ministry of $50bn in peso-denominated sovereign debt in bid to ease pressure on public accounts
CEO of exchange group says move into world’s biggest bond market is ‘no-brainer’ and its application will come this year
Twelve months after the failure of Silicon Valley Bank shook the regional banking sector, risks remain
Japan’s central bankers grapple with normalising monetary policy and unwinding the balance sheet
International Edition