‘Risk off’ prevails as economy fears rise

Silver hits 4-year low as commodities slide

Purchasing managers’ data in spotlight

Surveys due for the eurozone, France and Germany

Barclays to invest £1bn in green bonds

Largest investment by a bank in the fledgling market

Investors back UK assets in relief rally

Pound gains on Scottish No vote, but slips back later

Weak ECB loans demand paves way for ‘QE’

Banks took just over half expected loans in TLTRO operation

Over $1bn pulled from UK equity funds

Strongest outflows from European funds in more than three years

Scotland’s No vote: analysts react

‘Outcome will be greeted with relief by interest rate markets’

Bond markets ‘join the dots’ on Fed rates

Two-year Treasury yield rises to level last seen in May 2011

Boost from Scots ‘No’ may be shortlived

Slow-burning political risk for the UK will increase

S&P 500 hits record high after Fed update

Sterling jumps ahead of Scottish poll result

Investors shun US inflation bonds

Stronger dollar negates need for insurance against rising prices

ASX plans A$65m investment in Yieldbroker 

Australian exchange seeks first foray into OTC derivatives trading

Yield-hungry markets overlook credit risk

Investors appear to be ignoring weaker corporate balance sheets

Bond markets clash with Fed on rates

Focus moves from timing of first rate rise, to how fast they will rise

Dollar rises sharply after Fed statement

Treasury yields and US stocks move higher

South Africa joins sukuk bond rush

$500m sale more than four times subscribed

Markets settle ahead of Scots vote

Positioning in futures markets moves closer to neutral

Junk bond issuers lock in low costs

High-yield sales surge ahead of future rate rises

Rate-recoil prompts another EM sell-off

Is EM volatility related to US rate hopes, or just a correction?

Wall Street rallies as Fed hopes build

Dollar falls while oil price jumps