Stocks shrug off Shanghai tumble

Gold at lowest level since 2010 as dollar firms

Policy moves trump geopolitical risk

Financial markets barely blinked as Russia and Turkey tangled

Bond investors jolted by tighter credit

Spain’s Abengoa joins lengthening list of troubled companies

Investors hold breath over subprime reboot

Traders look on as bottom end of securitisation market restarts

UK waits for debut of new muni bonds

First bond, expected to be sold in April, has failed to materialise

Europe firm as US holiday thins markets

Metals rally off lows helping miners

Stock market price digital display

Loan-backed security sales slow

Investors wary ahead of likely Fed rate rise and rising defaults

Private debt faces credit ruction test

Risk of lending standards falling as investors rush in

Housebuilders dig in at top of FTSE 100

Plan to build 400,000 new homes lifts sector

Covered bonds gain ground in Asia

United Overseas Bank unveils $8bn programme

Eurozone rescue fund sells 40-year bond

Fund has issued its longest-dated debt to date

How to cash in on convertibles demand

Strong investor appetite allowed Vodafone to issue no-coupon bond

Bond market seeks repo clearing solution

Discussion focuses on placing trades in a clearing house

FT Explainer: Interpreting Fed funds futures

Why markets are not overwhelmingly signalling a US rate rise

Credit repricing challenges dealmakers

Investors are pulling back from risky debt and loans

Global debt defaults near milestone

US accounts for 62 of 99 defaults by global companies in 2015

Wall St braces for leveraged deal losses

Investor unease showed when Altice had to downsize debt offering

Liquidity deteriorates for US Treasuries

Trading of older paper hurt by dealers’ balance sheet constraints

Transcript: FT City Network

Should backstop liquidity facilities be extended beyond banks?

Bond issuance in euros hits six-year high

Investment grade companies race to sell debt ahead of any ECB QE2