HKMA forms expert group with JPMorgan, HSBC, UBS to drive tokenized bond adoption, building on past digital bond issuances.
India plans to scrap capital gains tax on foreign portfolio investments in government securities to boost inflows and support the rupee, as nearly $28 billion exits equity markets.
High yield bond ETFs yield 5.85-6.6%, attracting income investors amid rate uncertainty. Analysis of HYG and JNK trends.
Saudi Arabia and Gulf allies persuade Trump to call off Iran attack, preventing a potential oil supply shock that could have devastated European markets.
The Dow fell 322 points as the 30-year Treasury yield surged to its highest since 2007, reigniting inflation fears and rate hike bets.
UK 30-year gilt yields inch up amid global bond rout fueled by inflation fears, while US 30-year yields hit 19-year highs.
Japan's 10-year JGB hits 28-year high while brokerages prepare crypto trusts, signaling a shift in retail investment landscape.
Treasury yields stabilize after a global bond rout, with 10-year yields hitting 15-month highs. Oil prices and inflation fears fuel the selloff.
The 10-year German bund yield surged to its highest since May 2011, joining a global bond selloff driven by inflation fears and geopolitical tensions.
UK gilts rally as 10-year yield drops 7bps. Analysis of market drivers and forward outlook for bond investors.
UK gilt yields fell after Starmer defied resignation calls. European markets rose. Analysis of political stability and bond market impact.
UK 10-year gilt yield jumps 10 bps to 5.10% as global bond markets rout. Analysis of causes, implications for BOE policy, and investor outlook.
The Federal Reserve keeps policy on hold as the economy remains resilient, with Treasury yields rising and precious metals mixed.
US jobless claims decline, signaling a strong labor market despite geopolitical tensions. Economists weigh in on the data.
The iShares 20+ Year Treasury Bond ETF fell 76 bps amid negative options action. Gold and oil remain hot trades.