Indian Bond Yields Climb as Rate Hike Risks and Fiscal Deficit Fears Pressure Market
India's bond market faces sustained pressure as RBI rate risks and widening fiscal deficits push 10-year yields higher, raising borrowing costs and…
India's bond market faces sustained pressure as RBI rate risks and widening fiscal deficits push 10-year yields higher, raising borrowing costs and…
Petrobras diesel price cut under Brazil’s new subsidy plan signals government intervention in energy markets, pressuring state-controlled oil stocks.
Mexico's crackdown on extortion reaches a mayor's office, a move that could bolster governance and lift the peso if sustained.
India's government warns of inflation risks ahead of the Reserve Bank of India's policy review, hinting at a prolonged tight monetary stance…
The Philippine central bank's warning of surging inflation in May drives expectations of higher interest rates, boosting the peso while pressuring Philippine…
Zambia's 2053 bonds surged on news of a government debt buyback tender, as investors welcomed the move to proactively manage sovereign liabilities…
South Africa's $228 billion green bond initiative targets ESG financing, with potential to strengthen its credit appeal and draw sustainable investment flows.
Kenya’s inflation rate jumped sharply as war-induced fuel price increases fed through to consumers, threatening economic stability and signaling potential rate hikes.
Polish inflation unexpectedly fell in May, cooling rate-hike speculation and weakening the złoty, with broader implications for Polish bonds and equities.
The arrest order for a Philippine senator over graft sparked a selloff in the peso and local equities, deepening political uncertainty.
Surprisingly strong Indonesia GDP growth sparks analyst doubts over data accuracy, risking currency and bond market volatility.
Big Caring, Malaysia’s top pharma retailer, targets a $750 million IPO, marking a major test for equity capital markets in the region.