Economic and market insight
Review of the week
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
Review of the week: A Cloudy Outlook
Big banks are reporting strong profits so far this quarter, but how will the rest of the market fare? And is higher-than-usual inflation making people glum?
6 mins
Review of the week: The Israeli-Hamas Conflict
This week has seen harrowing atrocities committed by the terrorist group Hamas against Israeli civilians. With so far more than 1,200 people reported to have been killed, this is the most serious cross-border attack Israel has faced in decades.
4 mins
Review of the week: Uncertainty spreads
Central bankers in the US and UK decided interest rates shouldn’t go higher in September; bond investors disagreed.
6 mins
Review of the week: Will interest rates plateau after peaking?
Will the big central banks making significant interest rate announcements this week follow the ECB’s lead and signal that rates have now peaked? And where might rates settle longer term?
6 mins
Review of the week: The good oil
Like virtually everything else, the cost of energy is much higher than it used to be. Combined with higher interest rates, it should keep squeezing economic growth in the coming months.
8 mins
Review of the week: Not the August planned
Hopes for a quiet summer were dashed by difficult-to-read economic data, swinging bond yields and holiday dramas.
5 mins
Review of the week: Soft landing?
Rather than a slow fade, the American economy produced a surprise surge. Yet with inflation within touching distance of the 2% target, US interest rates may still peak soon.
10 mins
Review of the week: Higher or Lower
Interest rate hikes for the US and Europe are almost certain this week. All major central banks are getting close to calling time on rate increases, but the UK is likely to be the last to do so.
9 mins
Review of the week: Running hot and cold
Inflation is falling nicely in the US, will British CPI follow suit this week? Meanwhile, China battles deflation as its economy stutters.
7 mins
Review of the week: Interesting times for bonds
Normally staid bond markets seem highly strung lately, but there are reasons to hope for some loosening up
5 mins
Treading the political tightrope
Nobody knows for sure who first coined the maxim that politics, religion and money should never be discussed in polite company. We live in a society where the right to free speech is taken for granted, but as far as advisers are concerned, one thing is certain – the first two topics should definitely be handled with care.
3 mins
The blame game
David Coombs tried as hard as he could to buy a suit from the high street, but they just weren’t selling. Our multi-asset investments head worries deep-seated problems are behind poor performance from UK retailers.
4 mins
Rolling with the devil
Whether rolling cheese down a hill, braving the chaos of a Spanish fiesta or investing in the stock market, you should always take precautions, argues Will McIntosh-Whyte, assistant manager of our multi-asset funds.
3 mins
UK financials – back from the brink
Ten years on from the nationalisation of virtually the whole UK banking sector, it’s now a much safer place to invest. Banks may not be the racy investments they were pre-crisis, but David Coombs, our head of multi-asset investments, explains why boring may be good when it comes to banks.
4 mins
Cheaper bonds mean cheaper stocks
A hefty jump in US Treasury yields seems the most likely reason for October’s abrupt sell-off. But chief investment officer Julian Chillingworth finds it hard to believe the US economy is about to keel over, given recent data, and believes equities – while volatile – should remain the place to be for the foreseeable future.
5 mins
The double-edged sword of longevity
People may be living longer than before, but many of them still routinely underestimate how long they might live. And that means there's a very real risk that they could outlive their retirement funds altogether.
3 mins
Hope and glory
In some ways, the US and UK are more alike than ever: both are wrestling with their identities as nations. And yet the Special Relationship is a study in contrasts economically, notes chief investment officer Julian Chillingworth.
4 mins
Diamonds in the Bo…rough
Will McIntosh-Whyte, assistant manager of our multi-asset funds, finds a few hidden gems while exploring his new digs in zone one. He found another in Wisconsin, USA.
3 mins
A brand new world: why millennials matter
Rathbones’ head of equity research Sanjiv Tumkur discusses how the next generation is steering consumer trends, and why millennials matter for investors of all ages.
4 mins
A brand new world: challenges to established brands
Companies selling big global brands have come to be known as ‘dividend aristocrats’ because of their long track records of stable earnings power. Rathbones’ head of equity research Sanjiv Tumkur discusses how these ‘branded gentry’ are under threat in a rapidly changing consumer landscape, and how some are adapting.
4 mins
Beware the guru
Elon Musk has got himself in hot water with the SEC after months of erratic behaviour. Our head of multi-asset investments, David Coombs, ponders the effects of hubris.
3 mins
It’s the real (skinny) thing
Coca-Cola’s purchase of Costa Coffee is a smart move away from sugar and gives the company plenty of options, argues head of multi-asset investments David Coombs. And the growth in coffee sales may surprise you …
4 mins