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"This is the new normal -- politics could add more volatility to all financial assets," said Barbara Reinhard, head of asset allocation for multi-asset strategies at Voya Investment Management.
By Eddie van der WaltJune 27 -
"Risk appetite is going to evaporate in the coming days. How long that risk-off will go remains the question," says William Hobbs, head of investment strategy at the wealth management unit of Barclays in London.
By Stephen KirklandJune 24 -
Turmoil returned to global markets as oil plunged and U.S. stocks sank to the lowest levels in 21 months, fueling a rush into haven assets.
January 20 -
U.S. Treasuries gained with emerging-market assets as futures traders held to bets that the Federal Reserve wont raise interest rates this week amid ongoing financial- market volatility. Stocks struggled for direction after their biggest weekly advance since July.
September 14 -
U.S. stocks led a renewed rout in equities worldwide as concern that Chinas slowing economy will hamper global growth roiled financial markets.
September 1 -
U.S. stocks climbed and European equities had the biggest four-day rally in three years on Greeces bailout agreement, while the regions bond markets signaled caution. Oil dropped as Irandeal loomed.
July 13