Portuguese bond yields dip on Moody's upgrade

Lisbon’s credit rating one notch below investment grade

Investors splash the cash and turn passive

Money heads into equity funds, bonds and new multi-assets

New money market fund rules risk backfire

If ‘gates’ are erected the incentive to get out kicks in earlier

US decisions dominate the data

Estimates of second-quarter GDP and jobless number out

Citi pays $5m to settle SEC data charges

Fine relates to failure to safeguard order information

More stable banks, less stable markets

John Dizard prepares for the beach by contemplating where a future financial crisis will hit

Investors dump high-yield bond funds

Withdrawals reach $4.8bn this week – the largest in over a year

Market mania: a guide to hot assets

From spotting the signs to timing your exit, profiting is tricky

Bubbles are forming in the credit market

Auto loans heat up, with emerging market corporate debt also expanding fast

US looks at ‘ultra-long’ Treasury bonds

Low yields spark call to consider maturities over 30 years

Tata Steel starts refinancing Corus debt

S&P 500 inches up to fresh record close

Bulls cheered by earnings and economic data

Junk bonds turn negative as rally stalls

Investors fret high-yield’s bull run is nearing an end

Fears grow over decline in bond liquidity

Corporate debt market could be at risk of sharp sell-off

UBS issues market squall warning

Prepare for a storm when insurance is cheap, Swiss bank says

US banks shift focus to corporate credit

Securitisation machine retuned for boom in company loan products

Senegal bond sale raises $500m

10-year issue attracted $4bn in orders, mostly from US and UK

M&A drives European leveraged loan market

Concerns grow over use of ‘financial engineering’ to generate returns

Green light for US money market funds reform

SEC finalises rules aimed at preventing run on investments

Yield spike warning for junk bond market

Risk premium for holding high-yield corporate debt too tight