Economic and market insight
Review of the week
Review of the week: No rain, no rain
Economic data has been confusing for a while. Thankfully, there’s a central bank hiatus just big enough to slip Wimbledon into.
5 mins
Review of the week: An independent scapegoat?
The Bank of England is throwing the kitchen sink at runaway inflation. Will it be enough, and are there some things that are outside its control?
8 mins
Review of the week: Take the long view on rates
UK inflation may shock gilt markets this week. But if so it’s likely to be a passing phase as price rises continue to cool over the summer.
4 mins
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
A bleary-eyed awakening
After a busy start to the year there’s still a lot of uncertainty swirling around in markets. But economies tend to bounce back hard after sombre periods, and hope remains that our eventual return to ‘normal’ will be no different.
3 mins
Eating for two?
We’re all craving the end of lockdown and a bit of freedom. But Craig Brown, our multi-asset investment specialist, wonders just how many of us will be in the position to spend up large.
2 mins
Fun and GameStop in the bedroom
It looks like we’ll all be staying in this Valentine’s Day. But multi-asset fund manager Will McIntosh-Whyte is looking forward to some quality time away from the screens.
4 mins
China: will it be a bullish Year of the Ox?
As China celebrates the Year of the Ox, our head of asset allocation research Edward Smith considers the health of the world’s second-largest economy – and the resulting implications for global trade and financial markets.
5 mins
Will the dollar lose its perch?
As you may have seen in your clients’ portfolios, the US dollar has been tottering a little lately. Head of asset allocation research, Ed Smith, asks if this is a short-term wobble or whether the dollar may lose its perch after decades of dominance?
4 mins
Recovery’s winners and losers
As investors look ahead to a time when the pandemic will be over, Ed Smith and Sanjiv Tumkur, our respective heads of asset allocation and equity research, question whether equity markets are in the midst of a great rotation from ‘growth’ to ‘value’.
4 mins
Bitcoin: bearer bonds for the 21st century
A lockdown-induced Christmas TV binge didn’t extend quite as far the Wizard of Oz for our head of multi-asset investments, David Coombs. But “the Great and Terrible” did come up in a conversation about bitcoin.
5 mins
2021: the year ahead. Maybe?
Well, 2020 didn’t go the way we all expected. Our head of multi-asset investments, David Coombs, has tossed out his old fortune-telling teacup and reached for the magic 8-ball this year.
2 mins
A ‘brand’ new world
Head of equity research, Sanjiv Tumkur, considers how a new generation of consumers are leading long-established brands - the bedrock of portfolios around the world - to adapt a more sustainable approach and help shape a ‘brand’ new world.
3 mins
Spread your wings and fly away
With vaccines in the offing, many investors argue that inflation is just around the corner. Fill your boots with airlines, they say. Yet our head of multi-asset investments David Coombs has had his head in the 1970s lately, and it’s helped him spot a flaw in the plan.
4 mins
MiFID II and the implications for ESG investing
In June 2020, rating agency Morningstar reported that global investments in environmental, social and governance (ESG) funds had reached a record high of $1.06 trillion, with capital inflows into sustainable funds up 72% in the second quarter alone.
4 mins
Insomnia in the trenches
The shock of the pandemic has made many businesses question how and why they do things. You shouldn’t underestimate how valuable these re-evaluations are, argues head of multi-asset investments David Coombs. Or underestimate the changes they could have on the future.
3 mins