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Activity in options market indicates nerves over this year’s rally
US currency has shed more than 2% against basket of rivals as traders trim bets on further rate rises
Computer-driven hedge funds and proprietary traders attracted by off-exchange market’s improved liquidity
B&Q owner’s shares trade at below nine times earnings
Transaction that includes private-equity investors General Atlantic values Norwegian group at $2bn
Or Montier moments?
US stocks always go up, but will they halve first?
Sterling hits 16-month high against dollar after UK economy shrinks more slowly than expected
How will the big seven tech stocks do in the second half of 2023?
Investment trust that pioneered song rights as an asset is under pressure from shareholders to boost valuation
Fund manager warns market risks becoming value trap if stocks fail to rebound
Sector appears back in Beijing’s favour as government sees role for companies in rivalry with US
Treasury yields drop to lowest level in two weeks and dollar sinks to weakest point since April 2022
Sterling rises to 15-month high against dollar after stronger than expected UK wage growth
And second-quarter earnings
Giving UK assets a welfare check
Fixed income bonanza comes as global exchange traded fund assets reach $10.3tn and surpass prior peak
Wall Street exposure at lowest level in more than a decade as some companies look overvalued
Asian markets climb even as Chinese data shows drop in consumer price index
Persistent inflation and regulatory uncertainty mean more manageable deals are attractive
Lure of higher bond yields causes $250bn scheme to cut back equity exposure
US inflation adjusted 10-year yields hit their highest since 2009 at 1.8 per cent this week
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