We use cookies and other data for a number of reasons, such as keeping FT Sites reliable and secure, personalising content and ads, providing social media features and to analyse how our Sites are used.
Add this topic to your myFT Digest for news straight to your inbox
Recovery after falls suffered in wake of October 7 attacks make currency top performer this month
Weak relative performance underlines the challenges facing lenders
Gains for precious metal break its long-term correlation with US Treasuries
Borrowing costs for Jordan and Egypt rise as investors price in greater risk for owning their bonds
Cash stored in reverse repo facility falls by $1tn as money market funds turn to Treasuries
Aid inflows and Taliban currency controls help afghani climb almost 10%
Short positions in UK government debt this week fell to their lowest level since at least 2006
Growing pressure to invest and regional banking turmoil also deterred companies from purchasing their own shares
Investors expect further weakness ahead of next month’s election
Surge in Japanese yields set to tempt local investors to sell foreign bonds
Very short-dated options account for 43% of volume in S&P 500 options
Commodity trading advisers aim to catch up after missing out
Lowest-rated junk bonds benefit from ‘soft landing’ hopes for world’s biggest economy
Soaring hedging costs have made foreign debt unattractive to some Japanese buyers
Market has largely missed out on the global rally so far this year
Activity in options market indicates nerves over this year’s rally
US inflation adjusted 10-year yields hit their highest since 2009 at 1.8 per cent this week
Stubborn inflation makes UK government debt a ‘huge outlier’
Three-month Treasuries to yield as much as bonds and equities over the next year, analysts predict
Vix volatility index falls to pre-pandemic levels in spite of rising interest rates and bank failures
Equal weight version of index slips into negative territory even though benchmark is up 9.5 per cent this year
Semiconductor index outperforms Nasdaq and hits 14-month high
Tighter lending puts focus on spread between high yield and Treasuries
Market pricing indicates US monetary tightening is over but has further to run in euro area
Short sellers pull back after fall in gas prices and less political turbulence than expected
International Edition