Repeat of positive market outcome from former president’s first term is certainly possible
UK asset management group hires Andrew Chorlton from Schroders as replacement
Stasis, squabbling and posturing mean results may be more a surprise in style than substance
Only two climate-related proposals received majority support this year, and no diversity initiative cleared 50%
How investors should adjust the traditional 60/40 investment split
Case is part of a flurry of lawsuits over socially conscious investment decisions
Electoral upheaval and flagging growth are putting spotlight on debt vulnerability
The US buyout group has become one of the biggest buyers of a fast-growing type of risk transfer product
World’s biggest asset manager attempts to balance the demands of European and US clients on decarbonisation
First-half activity boosted by companies bringing forward deals to avoid pre-election market volatility
Biden climate adviser John Podesta sits down with Moral Money to explain the administration’s shift in thinking
Officials are increasingly uncomfortable with a rally pushing borrowing costs to lowest level in decades
Overseas bondholders have discovered to their cost that they have little recourse in the Chinese system when boom turns to bust
Bolder reform of retirement funds is a contentious part of attempts to reboot Britain’s capital markets
The $10.5tn money manager emphasises investor choice after a backlash to its advocacy for sustainable investing
Political powers in France and UK need to demonstrate competence that keeps markets on side
Paris’s Cac 40 stock index on course for worst quarter in two years
Renewed optimism despite outflows from greener funds
Gilt yields are ever more in the eye of the beholder
Central bank concerned that risks in sector backing 2mn UK private-sector employees could spill over to rest of economy
Reducing the deficit is likely to reduce both stock prices and corporate profits
Holders of senior notes backed by UK shopping centres, German housing units and French offices to be hit, say analysts
Inclusion of country’s debt in major benchmark could fuel market volatility, analysts warn
UK asset manager’s decision underlines fierce debate on cutting carbon emissions
Agreement to restructure borrowings is ‘significant milestone’ towards ending debt crisis, says finance minister
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