Outsized market reactions to management changes have as much to do with failings of the old boss
Soft payroll data prompts traders to increase bets on aggressive rate cuts by Federal Reserve
Comments from policymakers follow report showing US economy added fewer jobs than expected
As investors take a harder look at the razzle dazzle of tech shares, there is more of a case to buy British
We hardly knew ye
The EU has to tackle the drain of valuable tech companies to US capital markets
Changes to disclosure rules on share buybacks would make a big difference to returns
Market turbulence driven by fears of potential US economic slowdown and fall in Nvidia shares
Deferred tax assets may hobble their ability to return capital to shareholders
Evidence shows groups that get dumped from the S&P 500 tend to outperform
S&P 500 suffers worst day since a bout of volatility last month as investors await payrolls data
UK tax authority reverses position as new Labour government prepares to update the law
Bank has stepped up attempts to win back hedge fund business after Archegos-induced caution
Asset managers turn to once-forgotten backwater to drive industry growth
Market Questions is the FT’s guide to the week ahead
Chinese online retailer accumulates biggest net cash position of any listed group not to pay dividends or buy back shares
Investor caution on megacap valuations slows rise of US blue-chip index
Investor attention may focus more on the broader market, which is in fine fettle
Istanbul index slides 8% as sweeping bid to rein in inflation ripples through markets
Silicon Valley chipmaker seeks to reassure investors of further growth despite production issues
Bank’s analysts cut share price targets for BP, TotalEnergies, Shell, Equinor and Repsol over weaker fossil fuel prices
Strong growth due to AI chip demand fails to meet Wall Street’s highest hopes
And a final word on greedflation
Year-to-date inflows of $2.6bn are below the $22bn recorded in 2023
Investors turn cautious on tech ahead of US chipmaker’s results