top of page

News & Views



Weekly Market Review - 18-05-2026
This week’s market update saw US equities continue to strengthen despite ongoing geopolitical uncertainty and rising inflation pressures linked to higher energy costs. Commodity markets remained volatile as oil prices surged on renewed concerns surrounding the Strait of Hormuz, while central banks maintained a cautious tone on inflation and interest rates. Political developments in the UK and wider geopolitical tensions also remained firmly in focus throughout the week.
3 hours ago5 min read


Weekly Market Review - 27-04-2026
This week’s update highlights a more mixed market environment, with technology stocks continuing to lead gains while broader indices show signs of caution. Against a backdrop of persistent geopolitical uncertainty and rising inflation concerns, investor sentiment remains finely balanced. As central banks navigate competing pressures and commodity markets stay sensitive to global developments, the outlook continues to evolve in response to both economic data and geopolitical e
Apr 274 min read


Weekly Market Review - 20-04-2026
This week’s update highlights a strong rebound in global equity markets, with improving investor sentiment driving a more positive, risk-on tone. While markets have moved higher, attention remains firmly on the evolving geopolitical backdrop, inflation pressures and central bank policy, all of which continue to shape the near-term outlook. Alongside this, we explore key developments across commodities, ESG and the global economy, providing a rounded view of the forces influen
Apr 205 min read


Weekly Market Review - 13-04-2026
This week’s update reflects a positive shift in market sentiment, with equities rebounding despite a complex and evolving global backdrop. While inflation has re-emerged as a key concern, particularly in the US, central banks continue to signal a cautious, higher-for-longer approach to policy. At the same time, geopolitical tensions and political developments across the UK and Europe remain key drivers of market direction, reinforcing the importance of a balanced and forward-
Apr 136 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


Weekly Market Review - 07-04-2026
Global markets moved higher this week, with investor sentiment improving following a period of heightened volatility. While geopolitical tensions remain a key source of uncertainty, markets have shown resilience, supported by stabilising commodity prices and renewed confidence in growth sectors. At the same time, inflation dynamics and central bank expectations continue to shape the outlook, with investors balancing short-term risks against a more constructive medium-term bac
Apr 76 min read


Weekly Market Review - 30-03-2026
Markets closed the week on a more cautious footing, with geopolitical tensions and rising energy prices driving increased volatility across global assets. While UK equities showed relative resilience, US markets moved lower as investors reassessed the outlook for inflation and interest rates. With oil prices climbing and uncertainty in the Middle East continuing to evolve, attention is now turning to how these developments may feed through into inflation and central bank poli
Mar 305 min read


Weekly Market Review - 23-03-2026
Global markets faced a challenging week, with rising geopolitical tensions and renewed inflation concerns weighing on investor sentiment. Volatility increased across asset classes as developments in the Middle East introduced fresh uncertainty around energy prices and the broader economic outlook. Against this backdrop, investors have adopted a more cautious stance, with markets increasingly sensitive to both geopolitical developments and central bank signals.
Mar 236 min read


Weekly Market Review - 16-03-2026
This week’s Clever Weekly Market Review highlights a more cautious tone across global markets, with equities moving lower amid escalating geopolitical tensions in the Middle East. Investors are also closely monitoring the unexpected rise in Eurozone inflation and the sharp increase in oil prices as concerns grow around potential disruptions to global energy supply. In this edition, we also explore the latest signals from central banks and EU climate policy developments.
Mar 165 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
bottom of page