Fidelity International | Fidelity Market Perspectives: China Consumer
Fidelity portfolio manager Hyomi Jie discusses the outlook and opportunities for the Fidelity China Consumer Fund.
Fidelity International 6th May 2020
Fidelity International | Fidelity Market Perspectives: Multi Asset Open range
Fidelity portfolio manager Chris Forgan discusses the outlook and opportunities for the Fidelity Multi Asset Open range.
The Week: Dividend cuts become the norm
Shell became the latest company to cut its dividend last week. Can investors rely on dividends returning?
Adviser-Hub 6th May 2020
A short history of market crashes (and why they don’t matter)
Since Tulip mania took hold of the Dutch in 1637, stock markets have been subject to crashes. In the longer term, the price of any individual investment may reflect its real value, but in the short-te...
Adviser-Hub 1st May 2020
Fidelity International | Society’s focus on sustainability and resilience to go parabolic
Fidelity’s Andrew McCaffery, Global CIO, Asset Management, and Ned Salter, Head of Equities, assess recent market movement and outline why the focus on sustainability issues will continue to grow as w...
Fidelity International 30th Apr 2020
Fidelity International | Fidelity Perspectives: Global Dividend
Fidelity Global Dividend Fund manager Dan Roberts talks us through his portfolio positioning and discusses the risk of dividend cuts, as well as the outlook for global equity income.
Fidelity International 29th Apr 2020
The Week: Will the low oil price dent the prospects for renewables?
The oil price has slumped. This brings problems for oil majors, the shale industry and various others, but could it also create difficulties for the renewables sector?
Adviser-Hub 29th Apr 2020
Fidelity International | Asia Pacific Opportunities
In this update, Fidelity Asia Pacific Opportunities Fund manager Anthony Srom explains why he maintains a multi-year time horizon to find interesting ideas in periods of indiscriminate selling.
Fidelity International 23rd Apr 2020
The Week: Oil price shock: the implications
The pandemic has already disrupted equity and bond markets, but now its influence is spreading to commodities markets and notably to the price of oil. What are the implications of rock bottom oil pric...
Adviser-Hub 23rd Apr 2020
Fidelity International | Global Special Situations
Jeremy Podger, portfolio manager of the Fidelity Global Special Situations Fund, provides a longer-term outlook for global equities and shares why he thinks China provides some indicators as to what w...
Five pieces of genuine reassurance to give clients in difficult markets
The scary falls in the FTSE 100 are those that make headlines, but most investors with a well-managed portfolio won’t have taken the full-force of the blow.
Fidelity International | Reasons to celebrate - 10 years of Fidelity China Special Situations PLC
In this video, portfolio manager Dale Nicholls looks back over the last 10 years and explains why he believes the long-term investment case remains as strong as ever.
Fidelity International 20th Apr 2020
UK equity income market review: UK companies cancel dividends
Although March was painful for most investors, income-seeking investors probably felt an additional level of pain.
Adviser-Hub 20th Apr 2020
UK equity market review: On the back foot
UK share prices plunged during March as the coronavirus continued to sweep the world.
UK bond market review: UK interest rates reach all-time low
Against the backdrop of heightened uncertainty caused by the intensifying coronavirus crisis, investors continued to lose their appetite for risk during March.
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