Showing 481–490 of 3399 results.
Polish assets, in particular the zloty and equity markets, are likely to come under strain if PiS wins the election
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EM dollar-denominated corporate debt is suffering from weakening EM economic fundamentals and the dollar's strength
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EU regulators are targeting a significant further post-crash tightening of financial market standards
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The planned Capital Markets Union is a wide-ranging flagship project for the current European Commisson
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Scandal exacerbates cost squeeze of rising regulatory requirements and consumer expectations
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Markets will be more anxious about political and policy risk in Turkey than other risks elsewhere in Emerging Europe
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New regulations will have a significant effect on investment funds' values, while fears have prompted new peso weakness
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The chancellor's China push is a high-profile policy for both the government and the would-be prime minister personally
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Fed members did not all agree with the decision to leave rates on hold
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Japanese bond and equity markets shrugged off S&P's downgrade of the country's sovereign debt
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