Add this topic to your myFT Digest for news straight to your inbox
Scrutiny of Trump’s tax plans will increase now he has failed to roll back Obamacare
Disconcerting signals include a gold surge and falling US corporate profit expectations
The ECB, Opec deal concerns, and BoE bond buying will also be in focus
Investor optimism running wild as markets focus on central banks
With US equities in record territory, focus will be on tax reform and other measures
Why are analysts pondering ‘Brexit 2.0’ and what will Janet Yellen tell Congress?
Greenback left twisting in wind as risk of firmer Fed policy in near term languishes
When will bank merger talk return and is there a bear market in eurozone bonds?
Will the US rally endure, will Chilean miners down tools and where next for sterling?
Growing pound volatility bets could suggest further weakness
All eyes are on the US central bank’s meeting and the outlook for interest rates
Others to watch include oil and what lies ahead for eurozone monetary policy
Also — will there be fresh Wall Street records and what lies in store for gold bugs?
The dollar has accelerated markedly and pressure on emerging markets is rising
Remission or further pain for emerging markets, and the risks of the reflation trade
US election will dominate coming week as investors prepare to deal with their next dose of political risk
Expectations of higher inflation add pressure on nominal yields
EM concerns, US earnings, pound volatility, the euro and oil will also be in focus
Rising G4 bond yields and chances of a bounce for the pound are also in spotlight
Major talking points across markets and for investors over the coming days
How much pain is ahead for Deutsche Bank, and what next for the euro — the big questions for the week
US politics, oil price and demand for risky assets are leading market questions this weak
The ECB, volatility and Bank of England buying in focus