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Bond trader Tim Haywood insists he is ‘being made a scapegoat’ and plans to appeal
Firm raises more than $150m amid relentless demand for passive investment
Central Asian country’s finance minister says borrowing from investors will ‘discipline us’
Investors and policymakers ought to be concerned about damaging side-effects of QE
Investors should remember that return of capital is as important as return on capital
The key concerns for the week ahead
Fund managers have steered clear of stocks and sterling, bemused by EU exit outcomes
Lower income and higher costs are forcing some funds to close, but others are shunning outsiders to look after their own money
Hedge funds step up bets on further pain for UK asset manager
New York-based hedge fund emerges as one of the early winners of 2019
Mahnaz Safa leaves bank to spend time with family
Michael Farmer, metals trader and prominent Leaver, points finger at China
SEC is not registering continental asset managers over concerns about GDPR
Orchard Global completes £2.5bn fundraising as it shifts HQ to UK capital
Investors say scrapping EU exit would trigger ‘monster’ rally in stocks and sterling
Decline, however, beats a falling S&P 500 for the first time in a decade
Corporate cash flows may seem solid but tech breakthroughs could change the outlook
Collapse in prices in 2018 shakes faith in the future of digital assets
Sharp reversals in market trends has hurt performance of some big quant funds this year
Sharp moves in financial markets will eventually do damage to the economy
Fund managers are reducing their exposure despite falling valuations making stocks look cheap
Strains over fiscal constraints, the end of QE and slowing growth point to testing times
Move by one of Europe’s best-known traders follows heavy losses this year
Activist investor seeks higher margins and better governance at French spirits group