Fund group’s move to manage Anemoy fund means it is joining a trend that observers believe will disrupt the industry
Yield on two-year Treasury falls below 10-year counterpart as inversion in closely watched indicator ends
Heavy inflows in August are the latest sign of a comeback for fixed income in a cooling economy
Why stocks recovered so swiftly from the summer madness
Overseas buyers defy Beijing authorities’ unease over fear of debt market bubble
This supposedly brainy sector has been displaying memestock-like tendencies for a while now
More than $66bn has poured into fixed-income funds since start of July
Investors balk at steep valuations amid modest corporate outlooks and bets rise on Fed rate cuts
Sorry!
And changing its nature in the process
‘Activist Treasury issuance’ or simply going with the flow?
Some wagers associated with a Donald Trump election victory suffer setback
At an index level things look very loose, but under the surface it’s more of a ‘mixed bag’
Geopolitical turmoil, smoke-and-mirrors fiscal planning and quantitative tightening: the risks are many — but now might still be the time to buy UK government bonds
Federal Reserve may be forced to end quantitative tightening early, as stock of Treasury bills forecast to soar above $6tn
Tepid demand for new US Treasury auctions drives rates higher and prompts a retreat in major stock indices
A handy bit of sleight of hand
Billionaire investor has concerns about rising financial burden, global conflict and growing possibility of ‘civil war’
Once more unto the breach
Ft. Bad some news for the non-US Anglosphere
Market stress during the period of rising interest rates has prompted more scrutiny — and new rules
The combination of slower growth and nagging inflation is an unsettling mix
Soon-to-launch venture marks bond pioneer’s third attempt to break stranglehold of Chicago’s CME
While base case remains reduction in borrowing costs, options market shows a 20% probability of increase
Volatility index at highest since October as investors step up protection against downside risk to equities