Economic and market insight
Review of the week
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
Review of the week: COVID season
It’s shaping up to be another winter tarnished by the virus. As if central bankers needed more complexity on top of huge government spending, upended supply chains and confused labour markets.
4 mins
Review of the week: A different climate
The outcome of COP26 has left many people feeling blue about our fight to stop global warming. But that disappointment actually shows how much has changed in a few short years.
6 mins
Review of the week: Big ambitions, bigger uncertainties?
The eyes of the world are watching COP26 for bold action on climate change. Meanwhile, the UK chancellor envisages a ‘new age of optimism’.
4 mins
Review of the week: Fortune-telling statistics
Official statistics are in flux as UK policymakers ponder their plans for the future. Meanwhile, third-quarter US company reporting is off to a great start.
6 mins
Review of the week: Tug-of-war
Investors grapple with change as inflation rides higher and economic growth bounces back. Central bankers must come to terms with the new environment as well or risk making bad decisions.
6 mins
Review of the week: Bonds go bananas
Bondholders sell government debt aggressively as inflation concerns mount, but are investors overpaying for inflation protection?
6 mins
Review of the week: Furlough’s end
Arguably the greatest welfare programme in UK history has come to an end. That should bring clarity to labour markets and free up workers for more resilient businesses.
5 mins
Rolling with the devil
Whether rolling cheese down a hill, braving the chaos of a Spanish fiesta or investing in the stock market, you should always take precautions, argues Will McIntosh-Whyte, assistant manager of our multi-asset funds.
3 mins
UK financials – back from the brink
Ten years on from the nationalisation of virtually the whole UK banking sector, it’s now a much safer place to invest. Banks may not be the racy investments they were pre-crisis, but David Coombs, our head of multi-asset investments, explains why boring may be good when it comes to banks.
4 mins
Cheaper bonds mean cheaper stocks
A hefty jump in US Treasury yields seems the most likely reason for October’s abrupt sell-off. But chief investment officer Julian Chillingworth finds it hard to believe the US economy is about to keel over, given recent data, and believes equities – while volatile – should remain the place to be for the foreseeable future.
5 mins
The double-edged sword of longevity
People may be living longer than before, but many of them still routinely underestimate how long they might live. And that means there's a very real risk that they could outlive their retirement funds altogether.
3 mins
Hope and glory
In some ways, the US and UK are more alike than ever: both are wrestling with their identities as nations. And yet the Special Relationship is a study in contrasts economically, notes chief investment officer Julian Chillingworth.
4 mins
Diamonds in the Bo…rough
Will McIntosh-Whyte, assistant manager of our multi-asset funds, finds a few hidden gems while exploring his new digs in zone one. He found another in Wisconsin, USA.
3 mins
A brand new world: why millennials matter
Rathbones’ head of equity research Sanjiv Tumkur discusses how the next generation is steering consumer trends, and why millennials matter for investors of all ages.
4 mins
A brand new world: challenges to established brands
Companies selling big global brands have come to be known as ‘dividend aristocrats’ because of their long track records of stable earnings power. Rathbones’ head of equity research Sanjiv Tumkur discusses how these ‘branded gentry’ are under threat in a rapidly changing consumer landscape, and how some are adapting.
4 mins
Beware the guru
Elon Musk has got himself in hot water with the SEC after months of erratic behaviour. Our head of multi-asset investments, David Coombs, ponders the effects of hubris.
3 mins
It’s the real (skinny) thing
Coca-Cola’s purchase of Costa Coffee is a smart move away from sugar and gives the company plenty of options, argues head of multi-asset investments David Coombs. And the growth in coffee sales may surprise you …
4 mins
Underneath the arches
David Coombs, our head of multi-asset investments, has been watching too much EastEnders. But it’s got him thinking about how assets can be dressed up as something else.
3 mins
Automation for the nation: the future of finance
Artificial intelligence (AI) is infiltrating every area of modern life, from voice recognition devices like Alexa to driverless cars. And financial technology is not immune from the relentless march of AI either.
3 mins