- Global bond yields hit multi-decade highs as oil, inflation and debt worries mount: Report
- UK Long-Term Borrowing Costs Hit 6% For First Time Since 1998
- France’s bond market is stumbling. Should Americans care?
- These charts show how volatile the last quarter was for stocks and bonds
- Global Market: Eurozone bonds face pressure as energy shock fuels rate hike bets
Indian markets pressured by crude and bond yields
Rising crude prices, US bond yields and Iran-US tensions weighed on Indian shares, with the Nifty falling below 22,800 and then 22,700. The latest report says Sensex and Nifty opened flat after ending lower for a second straight session, amid elevated crude and uncertainty over a peace deal.
Thursday, 1 October
- Why are world bond markets selling off again?