GBP/USD 1.356 EUR/GBP 0.864 GBP/JPY 199.394 EUR/USD 1.172 GBP/AUD 2.082 USD/JPY 147.100 USD/CAD 1.381 AUD/USD 0.651 CAD/JPY 106.503 EUR/CAD 1.618 GBP/CAD 1.872 AUD/CAD 0.899 AUD/JPY 95.780 AUD/NZD 1.099 EUR/AUD 1.799 GBP/USD 1.356 EUR/GBP 0.864 GBP/JPY 199.394 EUR/USD 1.172 GBP/AUD 2.082 USD/JPY 147.100 USD/CAD 1.381 AUD/USD 0.651 CAD/JPY 106.503 EUR/CAD 1.618 GBP/CAD 1.872 AUD/CAD 0.899 AUD/JPY 95.780 AUD/NZD 1.099 EUR/AUD 1.799
CURRENCY .wiki

Finance News – Bond Market

What is your interest today?

MarketWatch Top Stories • Aug 14, 2025

Why both bulls and bears may want to be making the same bond-market trade

Investors with differing views on inflation trends may still engage in similar strategies within the bond market, anticipating changes in yield curves that could impact portfolio r...

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MarketWatch Top Stories • Jul 30, 2025

Why fears of a bond buyer’s strike are easing even as Treasury bills are set to flood the market

Investors appear more confident about absorbing the upcoming increase in short-term government securities, suggesting stable demand despite a significant rise in Treasury bill issu...

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Sky News Money • Jul 28, 2025

Trade negotiations, bond risks and a rise in botulism cases

The ongoing discussions between the US and EU, combined with fluctuations in bond markets and emerging public health concerns, could have notable effects on investment strategies a...

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Financial Times • Jul 26, 2025

The bond market maths does not add up for governments

Governments are likely to face increased borrowing costs as rising interest rates make it more expensive to finance their expanding budget shortfalls in the bond market.

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City A.M. • Jul 23, 2025

Investors: brace for a breakdown in UK gilts

The inability of the UK government to implement key fiscal changes increases the risk of a bond market upheaval, potentially triggering urgent expenditure reductions to restore fin...

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MarketWatch Top Stories • Jul 18, 2025

Here’s what interest-rate changes may mean for bond returns as traders watch Fed

Rising interest rates have increased bond yields, which can reduce risk during market fluctuations and offer investors more opportunities for gains compared to previous years, acco...

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MarketWatch Top Stories • Jul 18, 2025

Traders in a critical corner of the bond market are back to flashing worries about long-run inflatio...

Market indicators reflecting expected inflation over the long term have increased notably, prompting concerns among investors about possible renewed upward pressure on prices due t...

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MarketWatch Top Stories • Jul 15, 2025

Bond market sends troubling signal on inflation that should concern investors

Recent movements in the U.S. bond market suggest rising inflation expectations, which may lead to increased market volatility and pose challenges for those with diversified investm...

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Financial Post Top Stories • Jul 14, 2025

Posthaste: This shift in Canada's bond market is raising red flags

Hedge funds have significantly increased their purchases of Government of Canada bonds, accounting for nearly half of the market, which could signal evolving risks or changes in in...

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MarketWatch Top Stories • Jul 14, 2025

What the stock market is understanding that the bond market is not

Citadel Securities suggests that despite expectations of a rate reduction in September, current financial indicators reflect differing signals between equity and debt markets about...

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MarketWatch Top Stories • Jul 10, 2025

A key piece of the next consumer-price report risks upsetting the bond market

The upcoming June consumer-price index release could influence bond market stability by revealing how recent trade policies may have affected inflation trends and investor confiden...

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Investopedia • Jul 08, 2025

The Bond Market Faced a Volatile First Half—What's Next?

The bond market experienced significant fluctuations in the first six months, impacting investor strategies and potentially influencing borrowing costs and overall economic stabili...

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City A.M. • Jul 04, 2025

Economists urge fiscal discipline after ‘rollercoaster’ week for bond market

Analysts emphasize the importance of careful budget management as recent sharp fluctuations in government borrowing costs highlight vulnerabilities in the nation’s financial stabil...

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MarketWatch Top Stories • Jun 30, 2025

How June’s bond rally might give way to a round of volatility in Treasury bills

Following a strong performance in June, the bond market may experience shifting conditions in July, potentially leading to increased fluctuations in the pricing and yields of short...

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MarketWatch Top Stories • Jun 25, 2025

Why this banking proposal may mean good news for the bond market and investors

The recent actions by U.S. regulators to ease banking rules could significantly affect government debt securities, potentially impacting investment strategies and overall financial...

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MarketWatch Top Stories • Jun 21, 2025

As Trump blasts Fed to lower rates, it’s the bond market in need of convincing

President Trump’s calls for reduced interest rates highlight concerns over economic challenges, while investors in the bond market remain cautious about the Federal Reserve’s futur...

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MarketWatch Top Stories • Jun 17, 2025

This chart shows the Fed has room to cut interest rates enough to boost bonds and housing

The anticipated reduction in U.S. borrowing costs could lower financing expenses, potentially stimulating investment in real estate and increasing demand for fixed-income securitie...

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Kiplinger • Jun 12, 2025

Stock Market Today: Stocks Rise as Treasury Yields Drop

Improved economic indicators contributed to a decline in government bond yields, which in turn supported gains in equity prices during today’s trading session.

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CNBC Business • Jun 10, 2025

Inflation readings and Treasury auctions to test the bond market. Here's what to expect

Upcoming economic data and government debt sales are expected to influence investor sentiment, potentially affecting borrowing costs and guiding central bank decisions on monetary...

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Financial Times • Jun 10, 2025

Italy, Greece and Spain emerge as winners in bond market anxiety

Italy, Greece, and Spain have gained investor confidence in the bond market by demonstrating improved fiscal stability, reflecting a shift in sentiment regarding their debt managem...

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MarketWatch Top Stories • Jun 06, 2025

Tesla’s stock is too expensive — even if Musk and Trump make up

Tesla’s high share price reflects strong market expectations, but investors should carefully consider valuation risks and broader economic factors alongside expert guidance on navi...

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Financial Post Top Stories • Jun 06, 2025

What is the bond market and why is everybody so worried about it?

The increasing uncertainty surrounding government debt securities has caused investors to become cautious, potentially impacting the cost and availability of funds used for public...

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Globe and Mail Investing • Jun 05, 2025

The new gold rush: Investors snap up bars and coins amid stock and bond market turmoil

Amid challenges in traditional markets and housing affordability, an increasing number of younger Canadians are acquiring gold as a means to diversify their portfolios and protect...

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MarketWatch Top Stories • Jun 05, 2025

What’s at stake if world’s most powerful market finally buckles after decades-long U.S. debt splurge

If the U.S. bond market weakens after years of extensive borrowing, it could significantly impact government financing costs and investor confidence in the country’s economic stabi...

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MarketWatch Top Stories • Jun 04, 2025

The two rules investors need to follow right now as the S&P 500 eyes a return to 6,000

Investors should consider key strategies to navigate market volatility as the S&P 500 approaches a significant milestone amid ongoing economic uncertainties and trade tensions.

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MarketWatch Top Stories • Jun 02, 2025

Jamie Dimon’s bond-market warnings put investors on alert to diversify outside U.S.

Jamie Dimon’s recent caution regarding bond market risks may encourage investors to seek broader geographic and asset class diversification to better manage potential financial unc...

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CNBC Business • Jun 01, 2025

Investors are piling into big, short Treasury bets alongside Warren Buffett

Many investors are increasing their positions against long-term government bonds, reflecting widespread skepticism about future interest rates and economic conditions as explained...

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Financial Times • May 31, 2025

Japan faces big decisions on tackling bond market volatility

Japan's economic challenges and shifting population trends are influencing investor interest, leading to increased instability in the government bond market and prompting important...

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MarketWatch Top Stories • May 30, 2025

‘You are going to panic,’ Jamie Dimon tells regulators about what will happen when the bond market c...

Jamie Dimon warned regulators that a major disruption in the bond market could trigger widespread concern, highlighting the importance of monitoring financial stability amid ongoin...

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Financial Times • May 30, 2025

Dimon warns US bond market will ‘crack’ under pressure from rising debt

JPMorgan Chase's CEO highlighted concerns that increasing national debt could negatively impact the US bond market, urging policymakers to implement more sustainable fiscal measure...

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