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Argentina and Turkey among those hit as dollar strengthens and fiscal deficit expands
Heavily indebted companies suffer sharp sell-off amid rising dollar and bond yields
Global trade patterns start to normalise with China potentially heading for deficit
Downgrades push EM sovereign credit ratings to near eight-year low
Wall Street rebuilds operations under Trump’s lighter-touch regulatory regime
Wall Street welcomes former private equity executive with deregulatory philosophy
Since Fed meeting investors have withdrawn $1.8bn from EM equities and $1bn from bonds
Overall capital flows also break 34-month losing streak on China trade
German official unexpectedly softens opposition to Basel proposal
Lure of higher yields leads some to ignore danger of further Fed tightening
Investors take big bets on EM bonds and equities in further sign of confidence
Trade and industry help deliver sharpest monthly rise since 2011, says IIF
Artificial intelligence and biometrics help banks comply with rules
IIF says profits and productivity at risk as EM creditworthiness deteriorates
Investors have rushed back this month as the prospect of a Fed rate rise has dimmed
Industry group takes aim at latest watchdog proposals
Cross-border movement to emerging markets surged in March and April
Data disagree on whether foreign investors are piling into Far East stocks or running for the hills
Pick-up in activity is driven by credit, while structural headwinds remain, industry group says
Strong inflows help to compensate for outflows at start of year, though analysts warn of turbulence
Institute of International Finance says gradual recovery in foreign inflows offset by EM residents
Best performing companies are mainstays of the service sector
Foreign investors pour $37bn into the sector in March, but sentiment remains precarious
International Edition