Uncertainty is high — but maybe not disastrously so
Upsized offering from energy group ends two-week high-yield bond drought triggered by Trump trade war
10-year yield falls for first time since April 4 as investors scoop up Treasuries
And lessons from ‘73
Even US Treasuries take a hit as Donald Trump’s tariff blitz shakes confidence in American assets
10-year US government bond yield rose most this week since 2001
Senior Fed official helps ease market jitters by signalling readiness to act if market strains grow
An end-of-week inbox raid
US central bank prepared to act with ‘various tools’, Susan Collins says
Parking money in America is no longer the routine, fuss-free, neutral option
A new Fed facility?
Mayhem threatens to erode the appeal of US investments — which could, perversely, help Trump get what he wants.
Swapsmageddon or a Basisclysm?
Sell-off in 10- and 30-year gilts prompts central bank’s decision to sell only shorter maturity bonds in April 14 auction
Plenty of game left to play, though
And a thank you from FT Alphaville
Jump in yields on 30-year gilts comes as investors also dump US Treasuries
Investors say misfiring ‘basis trades’ are piling pressure on US government bond market
A guide to the hedge fund strategies fuelling the tariff turmoil
The double whammy of falling bond and equity prices could partly be hedge funds unwinding so-called ‘basis trades’
So long, sweet price
Bond bombshell
A fixed income freakout
Tariffs and positive correlation
Lower than expected purchases of three-year government debt add to investor angst