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News & Views

Monthly Commentary


May Monthly Market Review
Global markets advanced in May, supported by renewed strength in technology and AI-related sectors, with semiconductor-heavy markets such as Korea, Taiwan and the Netherlands leading gains. However, the backdrop became more complex as inflation pressures re-emerged, driven largely by higher energy costs linked to Middle East tensions. Central banks remained cautious, reinforcing a higher-for-longer stance, while bond markets came under pressure from rising yields.
2 days ago4 min read


April Monthly Market Review
Global markets moved higher in April as improving sentiment around the Middle East and continued strength in technology and semiconductor sectors supported equity returns. However, inflation reaccelerated across major economies due to rising energy prices, prompting central banks to maintain a cautious “higher for longer” stance on interest rates. While growth-oriented equity markets performed strongly, bond markets came under pressure as rising yields weighed on fixed income
May 144 min read


March Monthly Market Review
FGlobal markets came under significant pressure in March as geopolitical tensions in the Middle East triggered a sharp surge in energy prices, reigniting inflation concerns across major economies. Central banks in the UK, US and eurozone responded by holding interest rates steady, balancing persistent inflation against growing economic uncertainty. Investor sentiment deteriorated, driving a broad risk-off move in equities, while capital flowed into safer assets such as money
Apr 84 min read


February Monthly Market Review
February 2026 saw global markets advance steadily, supported by easing inflation trends and a broadly unchanged monetary policy backdrop across major economies. Central banks in the UK, US, and Eurozone opted to hold interest rates, reflecting a cautious but stabilising environment. Beneath this surface stability, however, performance diverged sharply across regions and sectors, with commodity-linked and technology-driven markets leading gains while others lagged.
Mar 123 min read


December Monthly Market Review
Markets ended the year on a steady footing as central banks cautiously shifted toward supporting growth amid easing inflation. The UK and US delivered further rate cuts, while the ECB held policy steady as eurozone inflation aligned with target. Market performance was mixed, with strength in banking, fintech and Asian technology offset by weakness in parts of emerging markets. Multi-asset portfolios benefited from diversification, helping to cushion volatility and position in
Jan 153 min read


November Monthly Market Review
Global markets entered November amid a delicate balancing act, as central banks held interest rates steady while inflation continued to ease but remained above target. Investors navigated mixed economic signals, sharp regional divergences, and a clear rotation in sector leadership, with defensive areas gaining favour as technology stocks lagged. In this uncertain environment, diversified portfolios showed resilience, highlighting the value of balance during a period of policy
Dec 12, 20254 min read


October Monthly Market Review
Markets strengthened in October as the Federal Reserve’s first rate cut of the year and resilient global growth supported sentiment. While the Bank of England and ECB held policy steady amid persistent inflation, equities rose broadly, led by strong gains in tech-driven Asian markets. Healthcare and Technology outperformed on continued demand for AI and biotech innovation, reinforcing momentum across growth sectors.
Nov 20, 20253 min read


August Monthly Market Review
Rate Cuts, Rebounds, and Renewed Optimism
Markets gained in August as global equities rose and the Balanced portfolio Index added 0.27%. The BoE cut rates to 4.00%, while the Fed and ECB held steady. Denmark rebounded 5.03%, and Colombia surged 9.7% amid easing inflation and election optimism. Latin America benefited from strong commodities, while India fell on new US tariffs. Diversification and nimble positioning paid off.
Sep 15, 20253 min read


July Monthly Market Review
Markets rallied in July 2025 as trade tensions eased and central banks diverged in policy direction. A new US–EU tariff agreement boosted investor confidence, while global equities surged—led by Hong Kong and Thailand. Despite inflationary pressures, diversified portfolios benefited from strong sector performance in Financials and Technology.
Aug 11, 20254 min read


July Extended Market Update
Global markets in July showed resilience but faced sharp volatility. Strong earnings and steady growth lifted equities in the U.S., UK, Eurozone, and Japan, yet trade tensions, rising public debt, and mixed inflation created uncertainty. Bond yields climbed, currencies weakened in key regions, and late-month policy concerns reminded investors how quickly sentiment can shift.
Aug 1, 20259 min read
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