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In bond and stock markets, managers had been shorting volatility to generate additional yield, such as by selling out-of-the-money put and call options.
April 13 -
The GDP growth spread between emerging-market and developed-market nations is expected to widen in 2017 to the most in three years.
April 13 -
Investor anxiety has mounted amid discord between the Trump administration and Russia over Syria and festering U.S.-North Korea pressures.
April 12 -
The new move amounts to an estimate of $7 million cumulative savings. Plus; other launches.
April 12 -
The new move amounts to an estimate of $7 million cumulative savings. Plus; other launches.
April 11 -
Emerging markets had some of the most robust gains, with an average 5.5% return led by wagers in India and China.
April 10 -
At stake is more than $400 billion that Citigroup estimates is invested in commodity markets stuck in a tug-of-war between supply and demand.
April 7 -
Prospects for an outright shrinkage of the central banks roughly $4.5 trillion ledger didnt discourage markets one bit at least on Wednesday.
April 7 -
Will investors stick around? The answer may be in the oil market.
April 6 -
Macro hedge funds faced an investor backlash last year as clients pulled almost $10 billion.
April 6