Investors confront volatility as Russia invades Ukraine

Markets reacted strongly this week to news that Russia invaded neighbouring Ukraine. The world has been watching tensions in the region escalate since the beginning of year.
Reaction to the latest development in Ukraine

As the situation in Ukraine unfolds, we remain focused on our investment process: being active, long-term investors in companies with strong balance sheets and solid fundamentals, employing our research intensity capabilities.
Investment team updates – Bullet points 4 February 2022

Latest news from around the investment desks.
Investment team updates – Bullet points 21 January 2022

Latest news from around the investment desks.
Opening Bell: What will 2022 bring for global markets?

Chief Economist Steven Bell takes a look at the factors shaping 2022, and what they mean for corporate earnings and financial markets.
Investment team updates – Bullet points 7 January 2022

Latest news from around the investment desks.
Asset Allocation 2021/22: review and outlook

Toby Nangle, Global Head of Asset Allocation, runs the rule over asset class performance in 2021, before turning his attention to the year ahead and looking at the inflationary and fiscal and monetary headwinds that could impact market performance.
Investment team updates – Bullet points 3 December

Latest news from around the investment desks.
Investment team updates – Bullet points 19 November

Latest news from around the investment desks.
Investment team updates – Bullet points 5 November

Latest news from around the investment desks.