Economic and market insight
Review of the week
Review of the week: Don’t tread on me
US jobs strength pushes back interest rate cut forecasts yet further. Meanwhile, higher rates and changing business needs keeps squeezing commercial property.
8 mins
Review of the week: The oracle of Threadneedle Street
No change to monetary policy is expected this week, but investors will be eager for any clue about the Bank of England’s thoughts on inflation and interest rate cuts.
6 mins
Review of the week: Shoppers on strike?
UK retail sales slumped in December while inflation went in the other direction. Is the UK now in recession, albeit the mildest of the mild?
6 mins
Review of the week: Gimme shelter
Housing costs make up a big part of people’s spending, yet they can often obscure what’s going on with inflation.
7 mins
Review of the week: An old-fashioned Santa rally
A gruelling year for investors actually delivered decent returns. But how much of that strong performance is in anticipation of 2024?
6 mins
Review of the week: Rolling Returns
A Santa rally is in full swing for stocks and bonds, capping off a year of large swells for investors. While returns flow, climate policy is ebbing at COP28 in Dubai.
8 mins
Review of the week: Why not deflation?
A bout of runaway inflation could persuade some people that no inflation would be better than any at all. That’s a dangerous path to take.
7 mins
Review of the week: Happiness is Relative
After a miserable year for living standards, Brits are feeling much better about their lives and their futures. But how much will that move the dial for retail spending and economic growth?
6 mins
Review of the week: Which path are we on?
Updates on inflation and unemployment arrive this week. Will they give investors more clarity about the paths of interest rates?
5 mins
Review of the week: Up like a balloon
Central bankers have sat on their hands for another month, sending the prices of stocks and bonds soaring. While interest rates seem to have peaked, the full effects of previous increases are yet to be felt by households and businesses.
6 mins
Review of the week: A Lot Going On
There’s a veritable sea of moving parts out there in the global economy, which are keeping investors on edge. The big question is, how will they influence central bankers?
5 mins
Review of the week: Same World, Different Views
The US House of Representatives is struggling to agree on a new Speaker as the US ticks toward a shutdown of government. Strangely, stocks seem more perturbed by strong economic growth.
7 mins
Of robot overlords and paperclips
Artificial intelligence is invading our world one conversation at a time. True to form, head of multi-asset investments David Coombs is hedging his bets about how it will affect his portfolios – and his job.
7 mins
Peak China? It’s been and gone
Peak China? That’s the question raised in the latest edition of the Economist. Rathbones head of asset allocation Oliver Jones summarises why we think the days of super-charged Chinese growth are over.
3 mins
Artificial returns?
The resilience of stock markets in the face of a banking crisis and potential recession is perplexing many investors – Rathbone Global Opportunities fund manager James Thomson included. He wonders whether the promise of AI might have something to do with it.
2 mins
A step change for the UK?
It’s not just high-street shoppers who are getting more cost-conscious. Investors too are focusing more on how much value they’re getting for their money. Rathbone Income Fund co-manager Alan Dobbie asks whether this could signal a step-change for UK stocks.
4 mins
Olyniaeth – it’s Welsh for succession
The market to supply new-fangled electronics for tomorrow’s smarter, cleaner cars has captivated head of multi-asset investments David Coombs for several years. But in a costlier world, could there also be a resurgence in keeping older, dirtier, yet more economical, vehicles running for longer?
4 mins
Three reasons to stick with investment grade corporate bonds
Last month’s banking sector volatility rattled investor confidence in some bank bonds. But, as fixed income fund manager Stuart Chilvers argues, there’s still a compelling case for investing in higher-quality corporate bonds.
3 mins
The world has changed
Failing lenders bring back memories of the dark days of 2008 and 2009. Rathbones head of multi-asset investments David Coombs explains why he thinks a global financial crisis is unlikely, but notes how technology has made banking easier for customers and harder for bankers.
4 mins
21st Century rumour mill
Work intrudes on head of multi-asset investments David Coombs’s vacation time as Silicon Valley Bank collapses. He marvels at just how fast information – and misinformation – can spread and suggests social media may be a risk to financial stability.
5 mins
A tale of two wars
Decades of trade between the US and China boosted living standards considerably in both nations, but their relationship has been fraying for some time. Rathbones head of multi-asset investments David Coombs believes this unravelling is keeping inflation elevated.
4 mins
Sustaining sustainability
As the hard slog of winter drags on, sustainable multi-asset investment specialist Rahab Paracha considers whether ESG issues and sustainable investing can sustain their strong momentum this year.
5 mins
Back to the cycle
The era of virtually zero percent interest rates is over. Rathbones head of multi-asset investments David Coombs believes that means a return to boom and bust, and he outlines which businesses are most at risk.
4 mins
Guarding your assets
Watching the Super Bowl in the wee hours of the morning makes senior multi-asset investment specialist Craig Brown misty eyed for his days playing guard somewhere deep in Essex and the past. It’s also a good reminder that not all gridiron players – or investments – are built for the same jobs.
5 mins