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FTSE All-World index declines 5.6% for the week as rising interest rates threaten outlook
European equities drift lower following disappointing report on eurozone retail sales
Bonds trade steadily as US central bank vice-chair says case for a pause in rate raises in September is ‘very hard’
Rally in sterling and euro pushes dollar from multiyear highs
Market Questions is the FT’s guide to the week ahead
‘Buy the dip’ mentality gives way to worries over tighter monetary policy and economic slowdowns
Equities close lower after days of tumultuous trading surrounding central bank tightening
Fed policymakers face a ‘thick stew of uncertainties’ as they decide how much to raise rates
Treasuries under pressure while dollar index hits highest level since 2002
Dollar index climbs to highest level since 2017
Slowdown weighs on media groups including Disney and Roku
Stocks on Wall Street make strong gains despite IMF cutting global growth forecast for 2022
Today’s main developments: Ukraine called off attempt to evacuate civilians from Mariupol; Putin warns west against any no-fly zone; Kyiv and Moscow set for third round of talks
Concerns over ‘contagion’ grow as Netflix shares plunge after warning on subscriber growth
Drop in bank shares accompanied a sell-off in the $22tn Treasury market
US Treasuries under further pressure as some analysts expect ‘hawkish’ Fed tilt
Stocks bolstered by promising trial results from Pfizer for its Covid pill
Weak earnings from Apple and Amazon focus investors’ attention on supply constraints and inflation
Gains come ahead of disappointing after-hours earnings from Apple and Amazon
UK bonds rally most since March 2020 on expectations of lower government borrowing
Yields on benchmark bond drop most since pandemic-induced ructions in March 2020
S&P 500 continues gains while Europe-wide Stoxx 600 touches highest level in over 2 months
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