Economic and market insight
Review of the week
Review of the week: 2022 wrapped up
We look back at a grim year for financial markets. The rebound in the last few months seems to offer investors some relief, but can we be confident that the worst is over?
5 mins
Review of the week: The upside down
Watchers of Netflix’s Stranger Things will know the Upside Down isn’t a cheery place to be. So what’s going on in bond markets?
6 mins
Review of the week: Behind the curtain
More is going on behind the curtain of modern China than its leaders would have you believe, if increasing unrest is anything to go by. Meanwhile, Europeans cross their fingers for a mild winter.
7 mins
Review of the week: Inflation slows, stocks surge
Stocks flew higher after inflation came in lower than expected. It’s tough and getting tougher for businesses and families though, especially in the UK.
6 mins
Review of the week: Imaginings and disappointments
Central banks are doggedly raising interest rates. Investors hopeful for a change of tack may continue to be disappointed for a while yet.
7 mins
Review of the week: Big Tech’s scary sell-off
Investors got spooked as Big Tech’s quarterly results showed they weren’t immune to economic headwinds, driving brutal sell-offs. Meanwhile, the UK government’s huge about-face seems to be reaping a ‘dullness dividend’.
6 mins
Review of the week: The price of milk
Inflation continues to eat away at shoppers’ spending power, both in the UK and abroad. Meanwhile, how do currency fluctuations affect investment returns?
10 mins
Review of the week: More than full circle
New Chancellor Jeremy Hunt has reversed virtually everything announced in the Truss-Kwarteng mini-budget in a bid to stabilise markets after weeks of turmoil.
9 mins
Review of the week: Credibility is the currency
The Bank of England has kept the gilt market greased and the Chancellor has brought forward the date he will reveal his detailed fiscal plans, easing pressure on the UK. Meanwhile, inflation still reigns supreme in investors’ minds.
7 mins
Review of the week: Maelstrom
Soaring bonds yields sent mortgage rates skyrocketing. However, they also upended pension funds in a nasty feedback loop that threatened to send many of them to the wall.
7 mins
Review of the week: Like a stone
The mini-budget will drastically reduce taxation and increase borrowing. It has rattled everyone, from the backbenches to bond markets. Will the gamble pay off?
6 mins
Review of the week: The Queen’s people
Hundreds of thousands of people queued for hours to pay their respects to the late Queen ahead of her funeral on Monday.
4 mins
Food 2.0
How innovative companies are finding sustainable ways to feed the world in challenging circumstances.
3 mins
Platforms are back, but not stagflation
In the midst of an unfolding humanitarian crisis, our thoughts are first and foremost with the people of Ukraine. But with an eye to our duty to our clients, we explain our views on the impact of the war and other big uncertainties investors are facing.
5 mins
Geopolitics and energy
With Russia’s invasion of Ukraine triggering sanctions and potentially cutting off supplies of fossil fuels, the transition to clean energy just got more complicated.
4 mins
ESG: three confusing letters
The ESG acronym is everywhere now. But these three letters can spell a lot of confusion. Our sustainable multi-asset investment specialist Rahab Paracha explains why the recent war in Ukraine has prompted a new debate on what belongs in ESG funds.
4 mins
Are all the geeks American?
US tech firms have played a dominant role in driving stock market returns for several years. Co-chief investment officer Ed Smith asks: will future innovation continue to be concentrated in America? And where should investors look to for the next wave of tech innovation?
4 mins
Dialling it down
The war in Ukraine has impacted virtually all commodity prices. Households and businesses are already feeling the effects, notes David Coombs, our head of multi-asset investments.
3 mins
Avoiding the hot air
Hydrogen power should be a powerful fuel of the future, which is leading to a lot of hype today. Our sustainable multi-asset investment specialist Rahab Paracha explains why investing through larger energy companies seems the best course for now.
5 mins
Is it time for a financial Plan B?
It’s been many years since inflation has given investors something to worry about. Rathbone Income Fund co-manager Carl Stick believes UK equity income sector may be an attractive antidote.
3 mins
Crypto Bowl 2022
Our multi-asset investment specialist Craig Brown is an old-school New Englander from the northern tip of Essex. His penchant for gridiron leads him into a blitz of crypto ads.
4 mins
Out of touch
UK policymakers are engineering a big squeeze on UK households this year, warns head of multi-asset investments David Coombs. Globally driven inflation should pass on its own, tightening policy risks making it worse.
3 mins
It’s the economy, Cupid!
Investor affections are proving fickle. But our multi-asset portfolios manager Will McIntosh-Whyte argues that in love and markets, it’s the things that last that really matter.
4 mins
Hydrogen – the fuel of our future?
Hydrogen is the simplest and most prevalent element in our universe. Yet turning it into clean energy is complicated indeed, notes our sustainable multi-asset investment specialist, Rahab Paracha.
5 mins