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Tipping point for world markets?

Can major central banks remove easy policy without upsetting the markets? Charles Diebel at Nomura answered readers’ questions on Monday, November 9

Have oil prices broken free?

Oil broke free of a three-month trading range recently to hit a year-high of $82 a barrel. Can the gains continue, or will economic realities curb progress? Harry Tchilinguirian at BNP Paribas answered readers’ questions on Monday, November 2

Third quarter earnings and the recovery

Joe Quinlan took questions on what the US third quarter earnings season tells us about the economic recovery and the prospects for equities markets on Monday, October 26

Currency minefield

Bilal Hafeez at Deutsche Bank on the prospects for global currencies as foreign exchange markets enter turbulent times. Bilal answered readers’ questions on Monday, October 19

IMF and its impact on investment

Matthew Vogel, head of emerging markets research EMEA at Barclays Capital, answers readers’ questions on the future shape of the IMF and its impact on investment on Monday, October 12

The future of investing

As part of the FT’s major new series, readers can quiz Lombard Street Research Associate Leigh Skene about his views on the future of investment. Results to be published on Monday, October 5.

Emerging markets must take up the slack

Ousmène Mandeng at Ashmore Investment Management answered readers’ questions on how emerging markets will be affected by efforts to rebalance the global economy on Monday, September 28

The G20 and the global recovery

Professor Philip Lane, of Trinity College Dublin answered readers’ questions ahead of the G20’s Pittsburgh summit on Monday, September 21

Quantitative healing

One year after the collapse of Lehman Brothers, the special measures adopted by central banks at the height of the crisis appear to have worked. Is that really the case, and what are the dangers that lie ahead? Grant Lewis of Daiwa Securities took readers’ questions on Monday, September 14.

China’s role in the global recovery

Mauro Guillén at Wharton Business School answered readers’ questions on China’s influence on global markets, on Monday, September 7

Gold on hold: what will move bullion?

The many faces of the dollar

Crude recovery prospects

Banking on future financial stability

Financial markets and exit strategies

India and the march of emerging Asia

Market forces and the return to growth

How far can sterling run?

The impact of Obama’s financial reforms

UK equities: Target 4,500 or 4,300?

Could bond yields smother the recovery?

Commodity rally pinned on recovery

The road to recovery

Bull run in Chinese stocks

US equities: Bull market or bear rally?

The future of reserve currencies

Oil: beginnings of a new bubble?

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