Economic and market insight
Review of the week
Review of the week: Skip, hop and jump?
All eyes are on the direction of central bank monetary policy. After expecting a policy pivot, investors now think the most likely outcome is a skip in tightening followed by a hop to pause mode before a jump to interest rate cuts.
5 mins
Review of the week: The great retirement
The UK labour market is in a huge state of flux. The population is ageing fast, people are retiring earlier and changes to immigration are leading to a lack of ‘unskilled’ workers.
7 mins
Review of the week: Monetary mea culpa
UK inflation simply won’t drop as fast as everyone hopes, leading the Bank of England to admit it needs a new model. Meanwhile, a compromise is proposed to kick the can on the US debt ceiling till after the next election.
6 mins
Review of the week: The money eraser
Inflation can often seem an abstract concept. Not lately, though: everyone is keenly aware of soaring prices. Is inflation finally starting to drop?
8 mins
Review of the week: Expectations vs reality
There’s a disconnect between how everyone feels and how stock markets are moving. Meanwhile, the US debt ceiling looms ever larger.
8 mins
Review of the week: A very British coronation
A King is crowned and most of England went to the polls last week. Coming up is a Bank of England rate hike and an update for American inflation.
7 mins
Review of the week: Banking eagle, hawked
A regional bank caught up in the March banking crisis has been forcibly sold by an American regulator. Hopefully this marks the end of the chapter.
9 mins
Review of the week: Markets on edge as earnings season picks up pace
Investors are fearful of an earnings recession as reporting season steams ahead. Meanwhile, China’s first-quarter GDP estimate suggests its recovery is proving uneven.
7 mins
Review of the week: The cost of drama
Markets are riven over weighty questions about the economic strength of our households and businesses clashing with higher living costs, and all the while lurks the menace of unknown consequences created by a rapidly changed world.
8 mins
Review of the week: The world has changed
Money was easy to come by in the 2010s, for businesses, households and governments. With interest rates now much higher, hard decisions loom.
7 mins
Review of the week: Back on track?
Stocks and bonds ended the month – and first quarter –nearing the top ends of the trading ranges in place since late last year. But there’s still much uncertainty about the inflation and growth outlook, particularly if energy prices start rising again.
6 mins
Review of the week: The fear bug strikes again
Strong gains for Europe’s banks last week were reversed by Friday’s close. With the fear bug spreading, can we be confident it won’t strike again?
7 mins
Locking in bond income for longer
Bond fund manager Stuart Chilvers explains why lower interest rates won’t sap corporate bonds’ juicy income yields straightaway.
4 mins
Power to the people
Making our economies cleaner requires a complete overhaul of how we produce energy. Yet how we transmit, store and conserve that power is equally important, argues sustainable multi-asset investment specialist Rahab Paracha.
4 mins
Are you concentrating?
Ten huge stocks account for almost a third of the US S&P 500. But concentration risk is even more pronounced in the UK market. Rathbone UK Opportunities Fund manager Alexandra Jackson explains that UK smaller and mid-sized stocks offer much better breadth.
3 mins
Mending fences
With his chickens scattered and fence repairs added to the list of weekend activities, Multi Asset fund manager Will McIntosh-Whyte ponders whether previously traumatised investors in Japan’s stock market will finally feel safe returning to the coop.
5 mins
Building the UK’s future?
A home of one’s own seems like just a dream for an increasing number of property-obsessed Brits. Rathbone Income Fund co-manager Alan Dobbie considers whether a growing political consensus could help increase the supply of homes, bringing this dream to fruition for many – and more sustainable returns for homebuilders.
4 mins
The demographic challenge
The UK is ageing steadily as the large Baby Boomer generation arcs towards retirement and birth rates among younger people continue to fall. Rathbone Income Fund co-manager Carl Stick argues these shifts are already exerting immense pressure on so many aspects of life and the economy: pensions, taxation, vital services like healthcare, the jobs market, you name it…
5 mins
Close encounters of the bond kind
Think you might have missed the boat on bonds after a sharp rebound in markets? Head of fixed income Bryn Jones outlines three reasons why bonds are a still compelling investment choice for 2024 – particularly if you’ve got money parked in cash.
4 mins
Nvidia: from pastime to new paradigm
A business created to make computer game graphics more beautiful stumbled into driving AI, one of the most important technologies of the 21st century. Rathbone Greenbank Global Sustainability Fund manager David Harrison explains what all the fuss is about.
5 mins
New frontiers
Bingeing on Apple TV’s counterfactual space race saga For All Mankind, senior multi-asset investment specialist Craig Brown is reminded of the technological advances that come from defence industries.
5 mins
Business bedfellows
In love as in investment, the dependable day-to-day stalwart is always better than the mercurial surprise artist. So argues our in-house ‘Romeo’, multi-asset portfolios fund manager Will McIntosh-Whyte.
5 mins
The post-Christmas appetite for bonds
The taste of turkey has faded in January, but corporate bonds have not. Rathbone Ethical Bond fund manager Stuart Chilvers explains how investors are still gobbling up bond issuance.
3 mins
What happens when UK investors go on strike?
It’s not only train drivers, doctors and teachers downing tools in the UK. Rathbone Income Fund Manager Alan Dobbie asks where all the investors have gone.
4 mins