And China’s monetary policy stance
Decisions by the world’s biggest active bond fund manager have potential to trigger valuation changes across markets
US bond yields drop as hedge fund manager nominated for top economic position
FT journalists responded to readers’ queries on how the global economy might change under the incoming president
Markets look through near-term loosening to medium-term picture for inflation and growth
Trump election win helps drive up so-called break-evens
S&P 500 breaks through 6,000 for first time
Analysts and investors warn tension between different aspects of president-elect’s policy add to risks of a reversal
Dollar rallies in its best day in 2 years as ‘Trump trades’ sweep through global markets
Japan’s yen and Mexico’s peso fall as jittery investors await election outcome
Disappointing Microsoft earnings prompt biggest one-day drop for US equities since early September
How fiscal excess strengthens the currency
Speculative hedge funds are placing bets but other investors have been more cautious
The outcome of the presidential election could yet cause a crisis of confidence
Volatility returns ahead of US election as government debt is hit by stronger economic data
Plus more on Pfizer
Fed cuts and robust economy spur ‘tremendous demand’ for US credit
The neutral ‘R-star’ level will be higher but the more notable change will be a steepening of the bond yield curve
Why only help when bankers are in trouble?
Bond traders brace for inflation data on Thursday after jobs figures smashed expectations
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Report also identifies geopolitical turmoil and cyber attacks as major risks to UK financial stability
CD players
Bank of England’s credibility under fire from Chicago in battle with New York
A balanced portfolio has the best chance of preserving the long-term value of pension savings against price rise shocks