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And stock/bond correlations
SocGen suggests S&P 500 will bottom out over next six months
Bargain hunters are premature, but plenty of opportunities await patient investors
Investors drawn to the greater liquidity offered by fixed income ETFs
FT experts Katie Martin and Robert Armstrong consider the way ahead for new investors
Gauges of share price volatility have been relatively subdued despite the sell-off
Market mood may be shifting from fear of missing out to fear of holding on
As markets turn bearish, will young investors run screaming into the woods?
Small trades are triggering outsized price swings in the world’s biggest capital markets
The influence of psychology on investors’ decision-making still largely explains stock gyrations
Sixth straight decline in FTSE All-World index reflects fear of inflation followed by recession
US central bank warns of ‘negative feedback loop’ if market liquidity deteriorates
The ‘what happened, why it happened and what it means’ post
Fixed income markets suggest regulators may have tested the financial system for the wrong stresses.
Swedish stocks especially hard hit during sudden plunge on Monday
Sacrificing an annual raise mounts up in your savings — and could be tax efficient too
Treasuries set to post worst quarter of returns since at least 1973 on inflation and rate rise fears
Amid surprise that the financial system has not been dealt a more severe blow there are warnings of systemic risks still to be uncovered
Repurchasing spree aims to tap volatile markets and reassure investors as growth slows
Traders are learning from history that it is foolish to assume conflicts are bad for stock prices
A haven investment in volatile times, there’s more than one way to hold gold in your portfolio
Fears rise over ‘greenwash’ bonds, central banks weigh dangers of inflation and war ‘shocks’, Salvadorean bitcoin bond set for baptism of fire, and ‘dry powder’ loan funds struggle to find a home
Cboe’s Vix index shows unease has dissipated over how far financial markets could fall
Strong week for equities as investors look past Ukraine war, China’s Covid outbreak and Fed rate rise
Gloomy forecasts for inflation and unemployment over the next few years
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