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US stocks to benefit from AI boom as a moderating global economy weighs on more cyclical markets
Investors earning 5% in money market funds hold back from T Rowe Price, Franklin and other fund groups
Lighter inflation makes life awkward for the pessimists
Attractive yields make the case for building a savings pot for future bargains
Investment strategies based on futures markets can hedge the traditional 60/40 portfolio
Big foreign fund managers including BlackRock have helped Japanese equities to strongest first half in a decade
PacWest’s $3.5bn deal with Ares is latest after industry turmoil this spring
Mantra of ‘There Is No Alternative to equities’ fades as fixed income rises in popularity
Three-month Treasuries to yield as much as bonds and equities over the next year, analysts predict
Never underestimate how far fund managers will go to avoid looking daft in front of their boss
The world is dividing as Washington and Beijing battle for economic and geopolitical supremacy
In a world changed by the pandemic and the Ukraine war, new strategies are needed
Blue-chip S&P 500 index is 20% above October 2022 low but shareholders are not celebrating
APG sees big rethink on investment in the country as geopolitical risks increase
MPs should make the case for funds to invest in the UK, rather than forcing them
I’m a hypocrite for deriding stock pickers but choosing my own funds
Prices are cheap but many are hanging back for confirmation the sector has recovered from chaos of recent months
Capital Group predicts $1tn will flow into debt markets in next few years as investors move to lock in higher yields
Baillie Gifford’s trust urges investors to remain ‘patient’ after stock decline
With the equity-bonds portfolio struggling to deliver value, savers may need fresh ingredients
Certain market segments can be neglected by mainstream indices
A shorter-term mindset is needed to cope with market stress and seize opportunities to buy cheap assets
It might be difficult for investors to increase allocations to the world’s biggest equity market from already high levels
Traditional mix of stocks and bonds is ill-suited to world of high inflation, says world’s biggest asset manager
Bank collapses in Switzerland and the US have made bondholders reconsider risks to their capital and yield expectations. But the UK gilt market is returning to normal after political upheavals and green bonds are being held to higher standards
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