Week in review

March recap | Middle market premium | Weather or not | Chart of the week: Inflation reaching a plateau?
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Week in review

Reaching for yield | Steady as she goes | A modest raise | Chart of the week: Middle market premium moves higher
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Week in review

Reflation trade | Output cut | Continued progress | Chart of the week: Rising rates and returns
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Video: What are you really buying?

Major stock indices hang near their all-time highs, while the number of public U.S. companies has plunged since the mid-1990s. What do these diverging trends mean for investors’ portfolios?
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Beyond the election

For the second time in only a few months, a major voting decision has delivered an unexpected result. The victory of Donald Trump in the U.S. presidential election was largely unexpected and, following the old adage that “markets don’t like uncertainty,” may cause a global spike in volatility.
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Comfortably insulated

Britain’s vote to exit from the European Union has caught markets wrong-footed. We saw firsthand the negative effects of the overhang of macro events earlier this year – China’s slowing growth, falling oil prices and Federal Reserve policy speculation.
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