The Week: Vaccine worries and the stock market bubble
2021 is not panning out as we planned. It’s delivered more lockdowns, new Covid-19 strains and a fresh assault on the global economy. Should stock market bubble be added to the list of concerns?
Adviser-Hub 27th Jan 2021
Diversified Income Fund
A tried and tested defensive return strategy with a proven track record of protecting the downside in weak markets and capturing the upside in less challenging conditions.
Ninety One 27th Jan 2021
Global Macro Allocation
A flexible multi-asset strategy aiming to compound high total returns through time.
Ninety One 26th Jan 2021
Tax year end – supporting you at home or from the office
FundsNetwork’s tax year end hub is live with everything you need to keep your business moving during this busy time.
Fidelity Adviser Solutions 26th Jan 2021
BNY Mellon Sustainable Global Dynamic Bond: Square Mile Talking Factsheet
A solid sustainable global fixed income fund with a focus on capital preservation.
Adviser-Hub 25th Jan 2021
Market briefings looking back at December
A selection of articles, written by our expert investment writers that cover the markets looking back through December.
Adviser-Hub 20th Jan 2021
Asian Japan market review: Japanese exports disappoint
Weak trade data dealt a blow to Japanese investors during December. Exports had grown at an annualised rate of only 0.2% in October, raising hopes that they would achieve some long-awaited growth in N...
The Week: A new broom at the White House
Joe Biden takes on a raft of seemingly intractable problems when he takes office this week, but the buoyant US stock market hasn’t been one of them.
US market review: US equities end 2020 strongly
Share prices rose strongly in the US during December, boosted by the news that President Donald Trump had – despite raising many objections – signed into law a coronavirus relief package worth US$900...
Adviser-Hub 19th Jan 2021
UK equity income market review: Dividends set to pick up in Q2 2021
Global dividends are calculated to have fallen during 2020 at a headline rate of 15.7% in a best-case scenario and by 18.5% in a worst-case scenario, according to Janus Henderson’s Global Dividend Ind...
UK equity market review: Worst year for the FTSE 100 since 2008
With a matter of days left before the end of the transition period, the UK and EU finally reached a post-Brexit trade deal.
UK bond market review: Investors welcome post-Brexit trade deal
The yield on the benchmark UK gilt fell from 0.31% to 0.20% over December as a whole as investors reacted to the news of tightening coronavirus-related restrictions in response to rising infection rat...
Global bond market review: A challenging outlook for sovereigns
2021 is expected to be a challenging year for lower-rated sovereigns. There were six sovereign defaults during 2020 – Argentina, Belize, Lebanon, Ecuador, Suriname, and Zambia.
Adviser-Hub 18th Jan 2021
Europe market review: Europe welcomes post-Brexit trade deal
European equity markets generally welcomed the news that the UK and EU had finally managed to thrash out a post-Brexit trade deal with only a week left before the end of the transition period.
Emerging market review: Brazil exits recession
Brazil emerged from recession during the third quarter of 2020: the country’s economy grew by 7.7%, posting its strongest growth since 1996.
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