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Positive mood runs counter to economists warning against opening taps
Mike Mackenzie’s daily analysis of what’s moving global markets
Former bond-market pariahs see record demand in recent auctions
Fears over political uncertainty drive withdrawals from US equity funds
Rejection of rightwing party in regional vote removes risk of snap national elections
Investors heading back into emerging markets are taking a political risk
Hedge fund manager Greg Jensen says precious metal could rise 30%
Markets prove robust in face of stresses but recent history shows how slip-ups can emerge
Post-Brexit UK is set to become a test case for a debate gripping global policymakers
Stocks and the currency have rallied hard but gilt investors see reasons for caution
Sterling springs higher while bonds decline on fresh burst of clarity for outlook
Fund managers agree Brexit hurts but have been more fearful of Labour’s leader
UK currency at its highest level against US dollar since June 2018
Sterling above $1.30 suggests faith in Tory victory but investors are still weighing different scenarios
Asset managers worry about the blurred lines between private and public assets
If the populists gain power in France and Italy, the future of the euro will be in their hands
Investors describe a pivot to fiscal policy as central banks seem to be out of ammo
International Edition