Add this topic to your myFT Digest for news straight to your inbox
Stresses over liquidity now loom larger than counterparty concerns in many areas
It costs more to trade Treasuries, but nothing’s breaking
Bank for International Settlements warns risks that have built up could trigger central bank bailouts
Investors are keeping a close eye on areas ranging from US Treasury market illiquidity to Japanese government debt
Concerns grow over market swings as ‘zero-day’ S&P 500 contract volumes surge
Large asset managers are invested in companies allegedly linked to Uyghur Muslims repression
Nellie Liang’s comments come as calls grow for sweeping reforms to $24tn market
The meltdown in UK gilts exposed the vulnerability of large bond markets. Could the biggest of them survive a wave of selling?
The bullish bets, equivalent to more than 5% of all ETF purchases, mean losses were magnified
Trusts offer ways into innovative companies even in tough market conditions
Seven investment trusts have achieved more than 50 years of dividend growth — even in tough times
Traders say the performance of put options this year calls into question their value
Financial stability report says banks are well capitalised against shocks from a downturn
Prominent asset manager says ‘hyperinflation’ could spark one of the worst crises since the second world war
Post-crisis approach to risk management limits preparations to the plausible
Even CDS indices indicate little serious stress
. . . in a rising market
The equity sell-off has been weirdly tranquil.
Debt sold by state and local governments has avoided worst of fixed-income sell-off
Saba Capital’s Boaz Weinstein says he is ‘very pessimistic’ about the investing climate
Almost $140bn has poured into money market funds as traders sit on the sidelines
Yields need to rise to dampen price pressures in the economy
Action needed to mitigate similar risks in other parts of financial sector, says committee
From government bonds to private capital, investors should brace for more surprises
Big swings across asset markets are raising the risk of a financial accident
International Edition