Record-Breaking Borrowing Hits Europe, $200 Billion Predicted for US Bonds Europe's bond market surges with record borrowers; Wall Street eyes $200 billion US bonds in January. Explore the implications for global finance.
Labour's Borrowing Plan Spurs Gilt Selloff, 10-Year Yield Jumps Labour's near-record borrowing plan triggers a gilt selloff, boosting the 10-year UK yield by 40 basis points. Read more on the fiscal impact.
Saudi Arabia to Maintain Borrowing Pace for Oil-Diversification in 2025 Saudi Arabia continues its steady borrowing strategy in 2025 to fund oil-diversification projects, emphasizing economic growth and sustainability.
Government Shifts Fiscal Strategy to Bolster Defense Budget The government plans to reduce borrowing and raise taxes to strengthen the defense budget. Explore implications for public finance and economic stability.
Inflation Fears from Trade Tariffs and Borrowing Concerns rise over inflation due to proposed trade tariffs and high borrowing by Trump's administration, threatening disruption in the Treasury market.