Eurozone inflation expectations jump

Surge cited by Draghi as evidence ECB policy is working

US Treasuries fade as investors sell

Weak performance comes amid strong corporate bond sales

Investors in two minds over QE in Europe

Stocks have done well in a short time, always reason for caution

ECB set to fire starting gun on QE

Central bank revises growth forecasts upwards

Inflation hopes set to ease Fed fears

Move upwards likely to allay worries over deflationary mindset

Wall St extends fall from record highs

Dollar index hits 11-year high as euro sinks

GDF issues euro bond at record low rate

Relentless investor demand for less risky eurozone assets

Yield premium helps sterling junk bonds

Market rebounded as prospect of ECB QE drove down eurozone yields

Shadow financing ‘threatens US bank profits’

US financials may lose 7% of earnings, warns Goldman

Vanguard asset management

Vanguard’s Europe march tracks ECB’s QE

Passive investment provider expects rising demand for stocks

Wall Street retreats from record high

Aussie dollar jumps as central bank holds rates

Investors snap up Icelandic bank bond

Arion’s €300m three-year debt issue was two times subscribed

Actavis records second-largest bond sale

Orders surge to $90bn as investors scramble for higher-yielding debt

Markets measure Petrobras fall from grace

Moody’s two-notch cut to junk status sparks debt sell-off

Austrian precedent for bank bondholders

The result should be a higher cost of capital for banks

Demand grows for eurozone equity exposure

$19.3bn pours into European ETFs this year

Valeant set for $9.6bn jumbo junk sale

Appetite for high-yield bond funds gives confidence on take-up

Eurozone’s march to QE enters its final stages

How the ECB runs its bond buying will set tone for yields

The Big Read: Bankers kept out of the bull run

John Authers explains some of the scepticism around the equities rally

ECB and BoE not expected to change rates

European Central Bank’s forecast likely to revise GDP upwards