[Reuters] World stocks hold onto gains, dollar under pressure
[Reuters] Repo rate steady before year-end
[Reuters] Treasuries – Yields rise, yield curve steepest since October 2018
[Reuters] Oil rises to three-month high on upbeat data, Middle East tension
[Reuters] The Decade of Debt: big deals, bigger risk
[Reuters] The decade that saw volatility trading come of age
[Reuters] China rate switch to ease funding costs, but banks not ready to pass cut along
[Reuters] China’s 2019 retail sales to rise 8%: commerce ministry
[CNBC] The Fed could face a possible ‘inflation scare’ in 2020 with commodity prices on the rise
[Bloomberg] Hedge Funds to Record More Closures Than Launches for Fifth Straight Year
[NYT] California Is Booming. Why Are So Many Californians Unhappy?
[WSJ] The Deals and Dealmakers That Made the Year in M&A
[WSJ] In Battle to Recruit New Quants, Hedge Funds Outpay Banks
[WSJ] China Is Taking No Chances With Stagflation
[FT] Why market faith in US-China trade deal is misplaced
[FT] Bond ETFs gain traction in the great rotation to passive investing