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Stocks pressured while pound hovers above $1.20 as traders await UK Brexit blueprint
Emirate to join other Gulf states in doing mega-bond deals amid low oil prices
UK PM’s Brexit speech is being weighed against Trump’s trade promise
President-elect has made mining social media for market-moving sentiment essential
Strong investor demand for loan funds helps underpin record repricing move
Markets are twitchy over risks to pricing and cross-border supply chains
Keep near the kill switch — outlook depends on more than a weaker yen
London’s main stock index still playing catch up over the longer term
Growing pound volatility bets could suggest further weakness
Sentiment indicators on Wall Street are mixed but momentum is not stretched
Shopkeepers’ failure to follow the script shows supply chains can always be improved
Theresa May is expected to announce that the UK may leave the EU single market
Weaker pound will be useful rather than transformational for British engineers
The FT’s new daily newsletter on the world of investment
‘Excessive reliance’ on banks and insurers to fund growth hobbling region’s economy
Sterling under pressure while gold and yen advance
UK currency back near 30-year lows on fears of Britain leaving EU single market
First decline for UK stocks in 15 sessions as Vodafone dips on downgrade
Region’s main indices retreat with Milan setting the pace downwards
EM fund manager hit by US election result and renewed strength in dollar