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News & Views



Weekly Market Review - 07-07-2025
In this week’s Clevers Market Review, we look at how global markets reacted to rising trade tensions and central bank commentary. Industrials led gains in a shortened trading week, while food inflation climbed in the UK amid extreme weather. We also cover key geopolitical developments, Nestlé’s ESG initiative, and what to watch in the week ahead as tariff deadlines and economic data releases loom.
Jul 6, 20253 min read


June Monthly Market Review
June 2025 saw strong market gains driven by a temporary US-Israel-Iran ceasefire, easing inflation, and tech sector outperformance. While the ECB cut rates, the Bank of England and Federal Reserve held steady amid persistent inflation. Norway and Korea led regional gains, with technology driving sector performance. Despite optimism, mixed signals from trade policy and inflation trends underline the need for a diversified investment approach. Read the full monthly market revie
Jul 6, 20253 min read


Weekly Market Review - 30-06-2025
Markets soared following a breakthrough ceasefire, while inflation and GDP revisions kept investors on edge. In ESG, major players like Microsoft and Coldplay made bold climate commitments. Discover this week’s key market moves and sustainability headlines in under 5 minutes.
Jun 29, 20254 min read


Weekly Market Review - 23-06-2025
Markets paused for a second consecutive week as Middle East tensions escalated. The Dow Jones edged up, while other major indices dipped. Oil surged after Iran’s threat to close the Strait of Hormuz, and the dollar strengthened amid investor caution. In ESG news, Nestlé exceeded sustainability goals for coffee sourcing. All eyes turn to US GDP and inflation data this week.
Jun 22, 20254 min read


Weekly Market Review - 16-06-2025
Markets retreated this week amid rising geopolitical tensions, with only the FTSE 100 posting gains. Trump and Starmer signed a partial UK–US trade deal at the G7, while the ECB and BoE signalled caution amid inflation concerns. Oil prices rose on Middle East escalation. Meanwhile, Lululemon deepened its ESG commitment through a new recycled materials deal.
Jun 15, 20254 min read


Weekly Market Review - 02-06-2025
Markets gained ground last week, led by tech stocks as nVidia's earnings impressed. Despite a dip in U.S. GDP, investor sentiment held firm amid tame inflation data and rising consumer spending. In Europe, ECB speculation stirred debate, while escalating U.S.-China trade tensions returned to the spotlight. Plus, Google backs a major ESG water-saving project. Here's your essential market breakdown for the week ending 2nd June 2025.
Jun 1, 20253 min read


Weekly Market Review - 27-05-2025
Trade tensions dominated headlines this week as President Trump extended EU tariff talks amid threats of a 50% levy. UK markets remained resilient despite sharp inflation rises, while US indices fell on renewed economic concerns. Plus: Meta’s latest renewable energy deal, a surge in silver prices, and new military developments in South Asia.
May 26, 20253 min read


Weekly Market Review - 19-05-2025
Markets rallied this week with gains in the Nasdaq 100 and S&P 500, while the Dow dipped slightly. Moody’s downgraded the US credit rating amid concerns over rising debt. Inflation showed modest signs of easing, though uncertainty remains. The ECB may cut rates as trade tensions pose risks, while New York launched a $1 billion climate initiative. Wheat prices rose on favorable weather, and trade negotiations remain a key focus.
May 18, 20253 min read


Weekly Market Review - 29-04-2025
IMarkets rallied following a shift in U.S. trade rhetoric, boosting equities across the board. This week’s review explores the impact of easing tensions, inflation expectations, and central bank commentary. We also highlight major moves in commodities, ESG investment news from United Airlines, and the latest geopolitical developments involving Ukraine and Russia. Get insights into what’s ahead for markets with GDP and inflation data due in the coming days.
Apr 28, 20254 min read


March Monthly Market Review
Global markets stumbled in March amid rising inflation expectations and renewed trade tensions. The Balanced portfolio returned -2.09% as U.S. tariffs sparked fears of a trade war, prompting caution among investors. While Europe cut interest rates and inflation cooled slightly in the UK, pressure remains on central banks. Equity markets were volatile, with tech and key Asian markets underperforming, while some financial sectors showed resilience.
Apr 1, 20253 min read
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