Economic and market insight
Review of the week
Review of the week: The tie that binds
The war in Ukraine has united typically quarrelsome European states against Russian aggression. Meanwhile, unity in President Vladimir Putin’s nation has been enforced through the strength of an authoritarian regime.
7 mins
Review of the week: Defiance
Russia’s invasion at first wrong-footed both Ukraine and the West, but the defenders’ resolve has been tougher than expected. Now, financial sanctions are hitting Russians hard.
8 mins
Review of the week: Back to the shops
UK retail sales bounced back after a COVID-crushed Christmas. Yet the longest income squeeze since Sir Robert Peel was Prime Minister is set to intensify in the coming months.
6 mins
Review of the week: War looms
Talks to ward off conflict over Ukraine are failing and a Russian invasion is reportedly imminent. Is it brinkmanship or a real risk?
5 mins
Review of the week: Bank on a tough year
The Bank of England seems poised to raise interest rates aggressively to combat inflation, yet its explanations don’t square with its own forecasts and analysis. Expect fewer hikes than the market currently implies.
7 mins
Review of the week: Tighter money
The years of loose money are coming to an end. That will cause some short-term upheaval in markets, but if economies remain strong stocks should soon bounce back.
7 mins
Review of the week: Getting ahead of the Fed
Bond yields have been climbing almost as much as investors’ worry levels. Pausing to remind ourselves what central bankers are trying to achieve – and how stocks typically react – is helpful.
6 mins
Review of the week: Just like the old days
With COVID cases starting to roll over – in the UK at least – and investors settling down for some old-fashioned Fed watching, everyone is hoping 2022 will be a bit more like pre-pandemic times.
6 mins
Review of the week: A strange and profitable year
Another COVID-blighted year has passed. Yet, for all the turmoil, 2021 was a great one for markets.
5 mins
Review of the week: Christmas at risk
Déjà vu in the UK. With COVID cases mounting once again and restrictions piling up, everyone is wondering whether Christmas will be cancelled once again.
5 mins
Review of the week: Still plenty of punch in the bowl
Market sentiment has been swinging wildly lately, but in this week’s review chief investment officer Julian Chillingworth explains why he thinks the supply of festive spirits won’t run dry.
7 mins
Review of the week: It’s all Greek now
A worrying new strain of COVID-19 has upended confidence in economic recovery, the path of interest rates and potentially the arrival of Father Christmas.
6 mins
What a time to join
Our (sort of) new Rathbone Funds chief investment officer Tom Carroll joined us as a decade-long economic world order was ending with a bang. Did he have to search under the desks for his fund managers?
4 mins
When the love disappears
It’s Valentine’s Day so David Coombs, our head of multi-asset investments, is taking the duchess out for Pizza Express. Alright, it was a week ago, but he’s still a cheapskate. Just not when it comes to investments.
5 mins
Lessons from a tough 2022
Central banks dominated markets in 2022, sending UK smaller companies tumbling. Yet UK Opportunities Fund manager Alexandra Jackson argues 2023 will be a year when investors start paying attention to companies’ fundamentals once again.
2 mins
Low expectations, even lower valuations
Britain has suffered through an omnicrisis for almost six months and recession looms on the horizon. And yet UK markets have been a bright spot, notes Rathbone Income Fund co-manager Alan Dobbie. What’s going on?
4 mins
From ‘TINA’ to ‘TANIA’…
Head of fixed income Bryn Jones explains why even the most tenacious equity bulls are starting to acknowledge that the era of ‘there is no alternative’ to stocks is finally done.
3 mins
Run, Rabbit, Run
Ahead of the largest annual human migration in the world, China has opened the floodgates to economic growth and COVID-19. Multi-asset fund manager Will McIntosh-Whyte hopes the Lunar New Year is a happy and prosperous one, for the Chinese and for the world.
5 mins
2023: The year ahead. Maybe?
After a pretty questionable effort at predicting 2022, our head of multi-asset investments, David Coombs, dusts himself off and leaps into 2023.
2 mins
Great Expectations?
Multi-asset fund manager Will McIntosh-Whyte channels his inner Scrooge as he confronts Christmases Past and Present. Can they provide investors with helpful insights about what’s to come?
6 mins
Keeping warm without overheating the planet?
Old buildings that fail to keep in heat aren’t just expensive for their residents. They’re also costly for the climate. Head of Equities Sanjiv Tumkur examines some of the innovations seeking to address this challenge.
3 mins
Bonds and (investment) goals
As head of fixed income Bryn Jones remembers his favourite World Cup, he asks whether investors might want to think about revisiting their bond allocations as they try to meet their investment goals.
3 mins
The Naked Coin
The implosion of one the largest crypto exchanges will be a massive shock to many holders of digital assets. Head of multi-asset investments David Coombs remembers a reality check of his own from 10 years ago.
5 mins
Can ‘quality’ stocks deliver recession resilience at a reasonable price?
Slowing economic growth, high inflation and rising interest rates are weighing heavily on global equity markets. Favouring different equity ‘styles’ is one way to try to protect portfolios. Head of equities Sanjiv Tumkur explains that stocks with strong ‘quality’ characteristics tend to outperform in economic slowdowns. So what defines a ‘quality’ company?
3 mins