Investors in Europe are enjoying a rare moment in the sun. The region’s blue-chip stocks have risen 9 per cent this year, while their US peers have fallen almost 4 per cent. Should this outperformance ...
It is the term used to describe the implementation of a crucial — but, until recently, little-discussed — part of banks’ risk management toolbox: structural hedging. Barclays, Lloyds Banking Group and ...
Marc Rubinstein is a former hedge fund manager. He is author of the weekly finance newsletter Net Interest.
The CEO of Barclays Europe shares his views on the potential impact of tariffs on Europe's economy and whether the continent ...
We recently published a list of 15 Best Bank Stocks to Buy According to Billionaires. In this article, we are going to take a ...
Investors in Europe have had few reasons for optimism in recent years, with equity gains heavily concentrated in the US — and ...
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Vice President JD Vance headlined the the American Dynamism summit in Washington Tuesday morning, when he discussed the ...
The latest Bank of America Fund Manager Survey shows a record rotation from US to European equities, driven by Germany’s ...
An incoming government wants to borrow much more to revamp the economy and rebuild the military. That means a change in the ...
BofA Securities' weekly survey of fund managers revealed a 40-percentage-point reduction in clients' long positions on U.S. stocks in March, the largest drop in the history of the survey, according to ...
Global fund managers are experiencing a “bull crash” in March as fears of a trade war and the end of U.S. exceptionalism loom, according to Bank of America’s latest Global Fund Manager survey.
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