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Low-rated Banco di Desio e della Brianza attracts €1.5bn of orders in under an hour
One of the worst-selling funds of 2018 rebounds after switch in central bank policy?
Investors bid-up riskier debt in search of yield
Sovereign debt from Czech Republic, Hungary and Poland now offers sub-zero returns
Retailer which balked at London IPO last year sells debut Russian rouble bond
London-based asset manager has deep and enduring ties to racy German financier
Global growth and trade worries send investors hunting for safety
An update on the $566m of convertible bonds due November.
Founders of asset manager use video address to try to calm nerves about the firm’s stability
Agency had previously suspended its rating on manager’s Allegro fund
Top policymaking body set to restrict cities and provinces to refinancing existing debt
Second downgrade would plunge Mexican oil company into junk territory
Debt rated triple C have fallen 1.5% since May, underperforming triple B
London subsidiary of France’s Natixis left with €500m exposure as it tries to staunch outflows
A “quite diversified” portfolio including “even a luxury good company in Italy”.
Asset managers claim they are not systemic but a larger scale fund run could show otherwise
Bond fund chief defends reputation of controversial German financier Lars Windhorst
Credit markets have learnt lessons from the structuring mistakes a decade ago
Korea, Singapore, Israel and Taiwan could be stripped from corporate bond flagship
I recently purchased a centre court debenture
Investors should beware ruses such as reverse factoring, which flatters a balance sheet
US high-yield funds take in $1.5bn for the week as global growth fears recede
Thin spreads for corporate bonds over US Treasuries suggest unwarranted optimism
To do so would lead to fickle portfolio flows without monetary policy autonomy
Investors to swap debt for equity after group fails to meet interest payment