This content is from: Portfolio Daily Agenda: Brexit Fallout Continues Risk assets continue to sell off; Barclays, RBS shares briefly halted after plunging; Spain’s Rajoy wins chance to form government; yuan hits lowest point since 2010. By Andrew Barber June 27, 2016
This content is from: Portfolio Looking to the ECB for Help on Spain Investors in Spanish bonds have lost faith in Prime Minister Mariano Rajoy and hope ECB head Mario Draghi will ride to the rescue. By David Turner April 17, 2012
This content is from: Portfolio Investors Eye Fractious Spain for Bargains With Catalonia’s independence declared, Spain stares down its worst constitutional crisis since becoming a democracy. By Joe McGrath October 29, 2017
This content is from: Portfolio Spanish Bond Investors in Strike of Their Own Yields on Spanish 10-year bonds overtake those of Italy for first time since August, as general strike raises fear government will fail to cut budget as much as investors hope. By David Turner March 31, 2012
This content is from: Portfolio Why Spain’s Rising Bad Loans Are Actually a Good Thing Investors see Spain’s growing nonperforming loans figure as evidence of a new culture of transparency. By Neil Sen August 18, 2012
This content is from: Portfolio Daily Agenda: Stocks, Commodities Rise on Saudi Change of Heart OPEC leader backs oil-production caps; India strikes inside Pakistan; Pepsi earnings up; Spain struggles to form government; big layoffs at Commerzbank. By Andrew Barber September 29, 2016