Market Monitor – 10 June 2022

The threat of tighter monetary policy and the expectation of further negative economic impacts from the war in Ukraine have driven global share prices lower this week.
Market Monitor – 6 May 2022

The threat of tighter monetary policy and the expectation of further negative economic impacts from the war in Ukraine have driven global share prices lower this week.
Market Monitor – 8 April 2022

The threat of tighter monetary policy and the expectation of further negative economic impacts from the war in Ukraine have driven global share prices lower this week.
Investment team updates – Market updates 1 April 2022

Latest news from around the investment desks.
Market Monitor – 25 March 2022

Global stock markets have enjoyed a more or less positive week as investors have once again been happy to focus on whatever good news they can find.
Solutions Enhanced: Capital Market Assumptions 2022 Making a transition

The end of 2021 saw a continuing reminder of the impact of coronavirus, inflation occurring in major economies, and the world waking up to the stark choices presented by the climate emergency. We set out the expectations for what all this could mean for investors over the next five years and in the longer run. These capital market assumptions form the base case we use when constructing strategic asset allocations for clients.
Market Monitor – 11 March 2022

Stock markets around the world have endured another turbulent week, with fears about the economic impact of the war in Ukraine continuing to dominate sentiment.
Investment team updates – Market updates 4 March 2022

Latest news from around the investment desks.
Market Monitor – 4 March 2022

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

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