Europe’s Financial Stability Watchdog Examining Private Credit Risks, Adviser Says July 10, 2026 By Naomi Rovnick The EU’s financial stability watchdog is examining the risks private credit poses to the region’s banks and economy, one of...
After the Fracture: How Britain’s Financial Industry Recovered From Brexit June 22, 2026 By Lawrence White, Naomi Rovnick and John O'Donnell In the buildup to 2016’s Brexit referendum, JPMorgan CEO Jamie Dimon said the U.S. bank could shift 4,000 jobs from...
Big North European Investors Reassess US Exposure as Geopolitical Risk Mounts January 23, 2026 By Naomi Rovnick, Simon Johnson and Simon Jessop Big Northern European investors are increasingly wary of the risks of holding U.S. assets in the face of geopolitical tensions,...
Corporate Credit Tremors in Aftershock of Tariff-Led Stock Rout April 10, 2025 By Naomi Rovnick, Harry Robertson and Sinead Cruise The tariff shock and recession fears that have sent world stocks into a tailspin over the last week are rolling...
Investors Put UK Election Winner Labour on Credibility Watch July 8, 2024 By Naomi Rovnick Big investors are warming to Britain after a landslide election win for its new Labour government but remain wary of...