Since 10-year treasuries broke through the 3% barrier earlier in 2018, there has been disagreement over how interest rates will move next. Danielle Myles analyses what the yield curve signals for investors and corporates, and how they can protect their portfolios and balance sheets.
Markets are now quick to adjust to disruptive news, creating a consistent low-volatility environment that makes life difficult for both buy-side and sell-side dealers. Simon Boughey looks at how firms are making the most of the opportunities that remain.
With a track record of regular growth, the Nordic property sector presents an attractive destination for investors. High quality assets and political stability suggest that the environment will remain a good risk for the foreseeable future. Sverrir Thór, the editor, economics and finance, Fastighetsnytt, reports.