Economic and market insight
Review of the week
Review of the week: So bearish, it’s bullish
Ever been so happy it makes you sad? Ever been so distraught it makes you smile? Humanity is complicated, which makes markets tough to read as well.
5 mins
Review of the week: Outline of a bear market
Stocks are flirting with levels that delineate a depressed market. The mood is gloomy and the risk of recession is real, but are investors pricing in too much bad news?
7 mins
Review of the week: The balancing act is back
Central bankers have spent years focussing their efforts on fighting deflation. Now that long-dormant inflation is back, they have to stop it from bedding in while avoiding sending the economy into recession.
6 mins
Review of the week: The dollar ascendant
US monetary policy is tightening, sending the greenback higher. This should ease US inflation even as it squeezes the costs of living and doing business for foreign markets.
6 mins
Review of the week: Behind the times
Central banks, squarely behind the curve, are preparing to raise rates swiftly. Inflation should be peaking, yet a European oil embargo is becoming more likely.
8 mins
Review of the week: The money squeeze
People are starting to react to increases in the cost of living, cutting non-essentials and spending less. Central banks are soon to follow suit by increasing interest rates further.
5 mins
Review of the week: A muddled view
The war in Ukraine has dampened global growth as waves of COVID-19 continue to roll across the world. Meanwhile, politics is back to the fore in Europe and America.
8 mins
Review of the week: Tipping the scales
Western central banks are trying to rebalance the scales in bond markets without causing a panic. Meanwhile, COVID-19 and bog-standard politics are still influencing markets in Europe and Asia.
8 mins
Review of the week: A pinch and a punch
Cost of living fears seem to be peaking in the UK as a raft of important protections end. How will the economy hold up as households and companies tighten their belts?
5 mins
Review of the week: An economic rerun of the 1970s?
The 1970s suddenly seem relevant again given soaring oil prices, high inflation and rising interest rates. But we’re not expecting a rerun of 1970s-style spiralling prices, sputtering economic growth and weak equity market returns.
6 mins
Review of the week: Bourses bounce back
This year has been grim so far, yet equities recovered much of their losses last week. Meanwhile, oil prices are all over the place and COVID-19 is wreaking havoc in the East.
7 mins
Review of the week: Changing point
Commodity markets are fuelling further inflation and putting global growth at risk. Central banks have shown they want to unwind years of emergency monetary policy regardless, sending bond yields higher.
7 mins
The risk in doing good
Diversity, equity and inclusion is important to ensure businesses get the best skills, avoid group-think and better understand their customers, argues our Multi-Asset Portfolios lead fund manager, David Coombs. But – as with anything – risks remain.
4 mins
Hoarding Cash
Why take risk when you can be paid 5% or more to leave your cash at the bank? Because you’re forgetting about tomorrow, argues head of multi-asset investments David Coombs.
5 mins
Squaring the dividend triangle
Striking the balance between delivering a tasty income today while sowing the seeds for higher dividends in years to come is the artful science at the heart of equity income investing. Rathbone Income Fund manager Alan Dobbie explains how he approaches the task.
4 mins
Barbenheimer, renewables and the power of hype
Rahab Paracha, sustainable multi-asset investment specialist, finds lessons for sustainable investors in Hollywood hoopla.
5 mins
What’s in a name?
Industry veteran David Coombs, our head of multi-asset investments, gets cranky about lazy labelling and job name inflation as he dispenses 40 years’ wisdom to budding finance acolytes.
5 mins
The lights are still on for the US economy
Rathbone Global Opportunities fund manager James Thomson explains why he thinks the US economy may turn out to be brighter this year than feared. And can US stocks keep climbing if the economy slows, but doesn’t shrink?
4 mins
Nothing to fear but fear itself?
After braving Italian traffic, Head of Multi-Asset Investments David Coombs is in no mood to sit on the sidelines. But he worries that the fear-driven race to avoid missing the stock market’s few biggest winners could screech to a sudden halt.
3 mins
Time for a change
Much of the world’s water infrastructure has suffered from years of neglect and lack of investment. Rathbone Greenbank Global Sustainability Fund manager David Harrison looks at the solutions.
4 mins
A far-sighted perspective on near-term bond market moves
Tilting towards shorter-term bonds has made sense as interest rates have marched higher. But Head of Fixed Income Bryn Jones explains why he’s now panning out to longer-perspectives and adding more interest rate risk (duration) to his funds.
5 mins
Live long and prosper?
We tend to view the ageing of our society as a worrying thing. Rathbone Income Fund co-manager Carl Stick favours a more positive spin that recognises that greater longevity gives us longer futures, widening our options to work, spend and save.
4 mins
Sustainability is about people, not just the environment
The planet and its climate get most of the attention with sustainable investors. Rathbones sustainable multi-asset investment specialist Rahab Paracha explains why improving people’s lives is perhaps more important and how that may even help solve our environmental problems.
4 mins
Why the long face?
After a tough few years for the UK, things are starting to look up, argues Rathbone UK Opportunities Fund manager Alexandra Jackson. The chances of recession have dropped, political stability has returned and profits are cheap. When will investors notice?
3 mins