Market Monitor – 4 March 2022

MarketUpdates

Russia’s invasion of Ukraine has again dominated global markets this week, with uncertainty about the likely outcome of the war driving yet more sharp losses.

Market Monitor – 25 February 2022

MarketUpdates

Russia’s invasion of its neighbour Ukraine has caused a huge sell-off in global stock markets this week.

Market Monitor – 11 February 2022

MarketUpdates

New concerns about the pace of interest rate rises in the coming months have put a brake on global stock market gains.

Investment team updates – Bullet points 4 February 2022

MarketUpdates

Latest news from around the investment desks.

Market Monitor – 28 January 2022

MarketUpdates

Global stock markets have endured another highly volatile week as a result of concerns about rising interest rates and the growing threat of conflict in Ukraine.

Investment team updates – Bullet points 21 January 2022

MarketUpdates

Latest news from around the investment desks.

Investment Outlook 2022 with William Davies

Middling growth, markets unnerved

Deputy Global CIO and CIO EMEA, William Davies, talks about what the coming year might bring for companies, markets and fiscal policy.

Investment team updates – Bullet points 7 January 2022

MarketUpdates

Latest news from around the investment desks.

Monetary policy and the yield curve

Ed Al-Hussainy, Senior Rates and Currency Analyst, looks at how monetary policy is set to become less supportive in 2022 and what this means for interest rates and the yield curve.

Outlook 2022: a year of considerable change

Eye of the Needle podcast hero

Deputy Global CIO and CIO EMEA, William Davies, talks about what the coming year might bring for companies, markets and fiscal policy.