The Week: Time to move in or out of European fixed income?
The ECB may have raised rates, but bond yields are still falling. Investors are voting with their feet on European fixed income. Are they right?
Adviser-Hub 28th Jul 2022
Baillie Gifford on why it’s not over for growth stocks
Drawdowns are not easy. Tech stocks and other future winners have been hit hard, but this is not the end for growth stocks as Baillie Gifford’s James Budden explains. Capital at risk.
Baillie Gifford 26th Jul 2022
Corporate Bonds: Finding opportunities in resilience
Baillie Gifford’s Torcail Stewart explains how attractive investment opportunities can be found by seeking resilient companies and thinking long-term. Capital at risk and income not guaranteed.
Baillie Gifford 21st Jul 2022
Baillie Gifford | Corporate Bonds: Finding opportunities in resilience
The Week: Bargain-hunting in bonds
After a lengthy period when bonds looked unappealing, current valuations should alert investors.
Adviser-Hub 20th Jul 2022
Baillie Gifford: Which European country is driving innovation?
In this postcast, Baillie Gifford’s Stephen Paice, Head of Europe, explains how Sweden tops the charts for original thinking and innovation. Capital at risk.
Baillie Gifford 20th Jul 2022
How are Baillie Gifford approaching their emerging market holdings?
From macroeconomics to sustainability, the Baillie Gifford Managed Fund team answer the key questions investors are asking about the funds emerging market holdings. Capital at risk.
Baillie Gifford 18th Jul 2022
Baillie Gifford Managed Fund update
In times of volatility, it often pays to be patient. The team from Baillie Gifford Managed Fund discuss the importance of having a long-term outlook as opposed to focusing on short-term events. Capita...
Sustainable investing and the advice process
A changing regulatory and legislative backdrop has led to a surge in interest for sustainable investing. And Fidelity Adviser Solutions research indicates that interest in sustainable investing will,...
Fidelity Adviser Solutions 18th Jul 2022
Ninety One | Ninety One View from the Multi-Asset Income Desk
With inflation at the top of investors’ minds, Jason Borbora-Sheen and Ellie Clapton discuss lessons from the past and implications for asset prices.
Ninety One 18th Jul 2022
Baillie Gifford | Which European country is driving innovation?
In this podcast, Baillie Gifford’s Stephen Paice, Head of Europe, explains how Sweden tops the charts for original thinking and innovation. Capital at risk.
Baillie Gifford 14th Jul 2022
Stronger pension nudges: final rules and guidance
On 1 December 2021 the FCA published the final rules and guidance for firms on the stronger nudge to Pension Wise guidance PS21/21. These new rules came into effect from 1 June 2022. Paul Squirrell, H...
Fidelity Adviser Solutions 14th Jul 2022
Baillie Gifford Positive Change Fund: Keeping Positive
Rosie Rankin, director at Baillie Gifford and Positive Change specialist, discusses the long term progress of the fund, the challenges of 2022 and the attractions of investing for impact. Capital at r...
Baillie Gifford 13th Jul 2022
The Week: UK GDP: good news amid the gloom?
UK GDP data came in ahead of market expectations and staved off recession for another few months. Is it the sign of a turnaround?
Adviser-Hub 13th Jul 2022
Baillie Gifford | Baillie Gifford Positive Change Fund: Keeping Positive
EV charging ahead
First Sentier Investors’ Peter Meaney and Kate Turner assess the challenges and investment opportunities presented by rising demand for electric vehicles (EV).
FSSA Investment Managers 11th Jul 2022
Market View: CIO Q3 outlook
Against a backdrop of heightened volatility triggered by high inflation and hawkish banks, senior members of Fidelity’s investment team take stock of a challenging period for investors across asset cl...
Fidelity International 8th Jul 2022
Breaks in the supply chain
Supply chain robustness and the quality of a company are intertwined. BNY Mellon Long-term Global Equity investment manager Murdo MacLean explains why.
BNY Mellon Investment Management 8th Jul 2022
Global update: Risk of stagflation moves closer
Concerns about rising inflation and faltering economic growth pervaded financial markets during June and central banks around the world raised interest rates in a bid to curb inflationary pressures th...
Adviser-Hub 8th Jul 2022
UK market review: Downturn fears hit sentiment
As inflationary pressures continued to bite, the Bank of England announced its fifth consecutive increase to interest rates during June.
Market briefings looking back at June
A selection of articles, written by our expert investment writers that cover the markets looking back through June.
The Week: What does political turmoil mean for UK markets?
It’s been a turbulent few days in British politics. Could there be an impact on UK assets? Or is the turmoil priced in?
Adviser-Hub 7th Jul 2022
The development of impact investment
Impact investment is evolving as reporting improves. Investors can now see how their capital is influencing the world around them.
Are regulatory changes making a difference?
2021 was a landmark year for sustainable investment legislation. Three fund managers explain how it has changed corporate behaviour.
Scottish Mortgage Investment Trust - Manager Insights
Tom Slater, manager of the Scottish Mortgage Investment Trust, discusses the current environment, activity in China, and why it is imperative that we stick to our investment philosophy. Capital at ris...
Baillie Gifford 5th Jul 2022
Baillie Gifford | Scottish Mortgage Investment Trust - Manager Insights
Baillie Gifford 4th Jul 2022
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