Markets
Guy Stephens: Listening to the bond markets
Further US rate cuts?
Pound slides after Carney warns protectionism could 'shipwreck' economy
Concerns amid continues tensions
IMF's Christine Lagarde nominated to replace Draghi as ECB chief
Nomination faces resistance from European Parliament
Global investors expecting 'unrealistic' returns - Schroders study
Political risk and volatile markets still affect choices
Tom Selby: What could the next PM mean for your clients' finances?
Johnson or Hunt … or Corbyn
Dan Kemp: Four key questions facing investors today
Trade wars, Chinese debt, rates and liquidity
Azad Zangana: Post-Brexit markets and the UK economy in five charts
Brexit three years on
Anthony Rayner: 'Lower for longer' on steroids
Worsening global dynamics
ECB to keep interest rates at 0% until mid-2020
QE could be back soon
Neil Birrell: House of cards - play or pass?
Factoring in political change
FTSE 100 falls in the face of trade war escalation fears
US-China trade war
Advisers continuing to invest defensively - Fidelity FundsNetwork
Global sector most popular
UK inflation hits 2.1% but monetary policy remains slave to Brexit
Inflation above 2% for first this this year
Industry Voice: Investing in volatile times
A more volatile investment environment can prompt a sharper focus on diversification as a way to manage risk and renewed interest in different approaches to multi-asset investing and fund choices.
Global dividends hit new record in Q1 but UK lags global average
Janus Henderson Global Dividend index
David Jane: Trade wars forever
Pain thresholds key
Chinese equities shed $4bn as trade war returns with vengeance
China-US tensions escalate again
Lacklustre December helps push GDP growth to 0.5% in Q1
Improved business investment
Neil Birrell: The land of the free (or at least the not expensive)
Real businesses, not hope
Darius McDermott: Solving the China problem
Three fund picks
CFA UK survey reflects 'less promising outlook' from investors
'Difficult times for investors'
David Jane: Why investors must look across asset class boundaries
Identify mispricing
UK-domiciled funds suffer £5bn outflows in March as Brexit fears weigh on sentiment
Data from Morningstar Direct
Anthony Rayner: Markets are discounting better times
Sector divergence evident