The Week: Inflation hits double digits: more bad news for the UK economy
Inflation in the UK continues to outpace expectations. The repercussions are dire and likely to deter international investors.
Adviser-Hub 17th Aug 2022
Sustainability commitments are changing how we invest
Sustainability commitments are changing how we invest: asset owners are increasingly aware of climate risks, among other ESG risks, and are asserting their right to be heard, says Ninety One.
Ninety One 17th Aug 2022
Worse than the Global Financial Crisis?
Fidelity Sustainable MoneyBuilder Income portfolio managers Sajiv Vaid and Kris Atkinson outline why a defensive and high-quality approach will be key to navigating the difficult period ahead.
Fidelity International 11th Aug 2022
The Week: The global economy is teetering: why are markets ok about it?
Markets rallied in July in spite of some tough economic data. They are hoping weaker growth may force a change of heart from the Federal Reserve.
Adviser-Hub 10th Aug 2022
Global updates: Equity markets rebound in July
Despite an increasingly clouded economic backdrop, share prices around the world generally rose during July.
UK market review: “No ifs or buts”
UK inflation continued to surge during June as higher prices for food and fuel pushed up the annualised rate of consumer price inflation from 9.1% in May to 9.4%.
Market briefings looking back at July
A selection of articles, written by our expert investment writers that cover the markets looking back through July.
Client getting divorced? Don’t let them forget their pension
Why are pension sharing orders so important and why should clients ensure their pension pots are part of any divorce settlement?
Fidelity Adviser Solutions 9th Aug 2022
The Week: In a crisis, diversification matters more than ever
The first six months of 2022 may have seen all asset classes sell off, but diversification has still helped preserve investors’ returns.
Adviser-Hub 4th Aug 2022
Biggest increase in UK rates since 1995
BoE policymakers implemented their largest single increase in UK interest rates since February 1995 at their August meeting.
Responsible Global Equity Income Webinar
In the context of higher inflation and market volatility, Baillie Gifford portfolio managers James Dow and Toby Ross discuss current views and explain how focusing on long-term income growth remains c...
Baillie Gifford 3rd Aug 2022
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
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