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There was much to make gains on this year as market turmoil abounded
Active managers argue 2017 should be easier if central banks end their stimulus
UK economy has avoided recession but markets are anxious about next year’s exit talks
Opec production cuts loom as big story for investors in the coming year
China’s benchmark index, S&P futures and the pound were among the most notable plunges
It didn’t take brilliant stockpicking to navigate post-referendum panic in UK market
Brexit, Trump and oil among the key contributors to a tumultuous year
The FT’s daily newsletter on the world of investment
Founder of the world’s largest hedge fund says change in psychology may be more important
Re-ordering the fund manager and financial adviser relationship has done some good
There will be bulls and bears but the weak pound could bring dealmaking at any time
1.13min
Crude oil hit a 2016 high in a quiet end to trading before the Christmas break
Dow Jones fails to hit 20,000 before Christmas
From terror attacks, Brexit and Syria, to Trump and post truth
Higher bond yields and less risk of tighter regulation provide boost for the sector
Moribund wider market leaves FTSE 100 little changed on thinly traded half-day
Oil majors lead list of dollar-dividend companies to pay out more in sterling terms
Business is more resilient than the typical columnist realises
Dollar choppy while Treasuries put in mixed showing
Funds have drawn serious interest from US regulators, but the next steps are unclear
Net outflows reach 5-week high on rising dollar and uncertain trade policy
1.16min
A fresh low for Mexican stocks on a quiet trading day
Dow Jones stalls in quest to reach the 20,000 mark