[BloombergQ] Stocks Climb Before Earning Season; Dollar Weakens: Markets Wrap
[Reuters] Chinese stocks have best day in two years, yuan firms despite tariff blow
[Reuters] Oil prices climb on global demand, U.S. sanctions on Iran
[Politico] Trump’s trade war was decades in the making
[Reuters] Pain and pressure: market turmoil pushes some China funds to the brink
[Reuters] Sea of red in Treasury market may signal bond boom is over
[BloombergQ] After Years of Easing, Meet Quantitative Tightening: QuickTake
[CNBC] The US is facing soaring trade deficits, but rising energy prices are a bigger danger
[Reuters] China’s offshore debt crackdown adds outflow risk
[Reuters] BOJ’s Kuroda expresses resolve to keep ultra-easy monetary policy
[NYT] Inside China’s Dystopian Dreams: A.I., Shame and Lots of Cameras
[WSJ] U.S. Exporters Will Be a Surprise Loser From Tariff Fight
[WSJ] Central Banks Try to Bolster Their Currencies. It’s Not Always Working
[WSJ] Business-Loan Drought Ends for Banks
[WSJ] Wage Gains Threaten to Squeeze Retail, Industrial Profits
[FT] Italy’s debts to European Central Bank near €500bn
[FT] China scales back property subsidies, adding to growth concerns
[FT] UK government in disarray as Davis resigns as Brexit secretary