Prospect of divided Congress and more modest economic stimulus has had big effect on markets
Wall Street homes in on taxes, infrastructure spending, tech regulation and energy
Money managers wager ‘blue wave’ in US election and good news on Covid could reduce uncertainty
Lack of sterling sensitivity displays Brexit fatigue
Markets shift towards small-cap companies and value shares over growth stocks
How will the result and the fallout from the fractious 2020 campaign affect your money?
Fund managers choose other forms of protection as Treasuries ‘parachute’ stops working
Investors were braced for post-vote turbulence but diagnosis raises risks in run-up to polling day
There is rising interest in using political prediction and betting markets to track political risk
Businesses face increasingly turbulent outlook due to pandemic, student protests and policy drift
Vix index futures rise further after Trump indicates he might not concede if he loses November vote
The UK market has fallen out of favour amid demand for US growth stocks
Proportion of assets British retail investors allocate to domestic stocks at record low
Investors bet that setback for League party has cooled risk of new national elections
The Japanese group’s options trade highlights the dangers of the market rally
UK currency slips almost 1% after plan emerges to override parts of the Brexit withdrawal agreement
Investors have made gains in the past four years, but many of them are worrying about the threat to democratic institutions
Agreement may help attract investors wary of country’s direction under Erdogan
Mike Mackenzie’s daily analysis of what’s moving global markets
Tough EU talks add to ‘wall of worries’ facing sterling assets, say analysts
Foreign capital flight raises red flags over Latin America’s largest economy
Proposals help country’s debt narrow gap with its German benchmark
Tighter regulation and local competition make breaking ground more challenging
International Edition