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Unease about new Italian government and political uncertainty in Spain has shaken markets
Peripheral bonds sell off after confidence motion called against Rajoy while Rome bickers
Global energy stocks hit by sliding oil prices
PM-designate’s first meeting is with bank collapse victims not policymakers
€157bn of portfolios traded in 2017 with activity concentrated in Spain and Italy
Borrowing costs continue to rise as new premier prepares to announce ministers
Big five regulators poised to clarify prop trading and simplify rules
Global agencies will give comfort to funds assessing Chinese domestic corporate debt
Insolvency of any of the US states could hit federal stability
Concerns about commitment to eurozone see $4.4bn in withdrawals
Agreement with Blackstone-owned GSO comes after Hovnanian refinancing provoked furore
Investors in UK online retailer say they are concerned about cash management
Fears of eurozone contagion still well below historic levels
Biggest one-day fall in 2-year Treasury bill yield so far this year after release of minutes
Illiquid, opaque asset class meets ultra-liquid structure with constant liquidity. What could go wrong?
Historic debt forgiveness programme ‘has failed’, says rating agency S&P;
Listing of industrial robot maker FII has been designed not to upset secondary market
Bond prices resume their downward path and bank stocks sell off
Bond yields rising amid equities decline, FTSE MIB down 2 per cent on the day
Italian politics
Markets
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