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The government's stance on the post-Brexit future for financial services remains open to conjecture
City analysts have been highlighting improved income prospects for the banks in 2018 – but regulatory risks remain
Liquidity issues generally prefigure market corrections, but the draw of risk assets could persist for a while yet
A record year in bond issuance could provide a pointer to the underlying strength of emerging market economies – but then again...
Could the repo trade unleash the bears?
Does keeping up with the times pay off?
There could be a few unwelcome surprises in store for investors as a new accounting standard comes into force
The government's bold industrial strategy is constrained by the distorting effects of monetary policy and overshadowed by Brexit
A proposal to reduce, or even eliminate, oil investments for The Government Pension Fund of Norway could spell trouble if other sovereign wealth funds follow suit
Retailers may lament the passing of cheap money for reasons unconnected to consumer credit