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Policymakers should start making contingency plans now
European investors opt for junk bond ETFs in home markets over US for first time since 2019
Move comes after the US lifted sanctions on secondary trading in October
Stubborn US inflation data persuades traders to rein in aggressive bets on cuts
Treasury courts new sources of demand as it faces record bond issuance needs
Asset manager run by billionaire trader Chris Rokos has gained 9% this year
New registration regime ‘is primarily about principal trading firms’, says chair of regulator
Currency has become top performer in Africa in 2024 after falling by one-fifth last year
Viva Las Basis
Differing paths of equities and fixed income mark return to longer-term norm
Schemes registered a new quarter drop in asset value in 2022 driven by mini-Budget turmoil, finds Pensions Regulator
“Real” meaning inflation-adjusted, or the one that actually matters? Both.
RIP bond kings
Chief investment officer of Europe’s largest fund manager warns on the dangers of ballooning US budget deficits
Nairobi plans to refinance part of a $2bn repayment due in June that was expected to strain public finances
Issuance comes days after departure of central bank chief who had taken hawkish approach to high inflation
Syndication time, come on
US regulator passes rule that will force some high-speed traders and hedge funds to register as dealers
US central bank chair sees three reductions in 2024 while markets price in five
Countries issued record amount of debt in January as investors sought to lock in yields
Stop fighting over who gets to perform the arb, start asking why the arb exists
Five-year $70bn auction in April to be biggest sale
Them’s the breaks
Are summer Hamptons trips reflected in overnight repo rates?
Bond dealers and investors highlight ‘structural shift’ in gilt buying
International Edition