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.
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.
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.
Market Monitor – 11 February 2022

New concerns about the pace of interest rate rises in the coming months have put a brake on global stock market gains.
UK equities: it’s all to play for!

We talk to Richard Colwell, Head of UK Equities, and Jeremy Smith, Portfolio Manager and Head of UK Research, about the much-maligned UK market, the themes, opportunities and challenges playing out there, and why the UK could be better placed than other international markets to prosper.
Market Monitor – 28 January 2022

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.
Market Monitor – 21 January 2022

Global stock markets have enjoyed mixed fortunes this week as the Omicron variant continues to spread around the world.
Outlook 2022: a year of considerable change

Deputy Global CIO and CIO EMEA, William Davies, talks about what the coming year might bring for companies, markets and fiscal policy.
Market Monitor – 9 December 2021

Concerns about the threat posed to the global economy by a rapidly-spreading new coronavirus variant (Omicron) have been put in the rear-view mirror this week, with stock markets around the world posting strong gains.