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News & Views



Weekly Market Review - 24-08-2026
UK equities outperformed as US technology shares fell, while higher inflation, rising commodity prices and geopolitical tensions shaped the week’s market outlook.
Aug 245 min read


Weekly Market Review - 17-08-2026
Markets delivered a mixed week, with technology shares edging higher while UK and US blue-chip stocks lost ground. Investors balanced softer US inflation against renewed oil-price pressure, extreme weather risks and increasingly difficult choices for central banks. This week’s review also examines Lloyds’ £100 billion sustainable finance target and the geopolitical tensions reshaping global alliances.
Aug 175 min read


July Monthly Market Review
July saw market leadership broaden beyond technology, with UK equities, commodity-linked markets and selected emerging markets delivering strong returns. However, renewed energy-driven inflation pressures kept central banks cautious, while a sharp correction in semiconductor and AI-related stocks weighed on technology-focused markets. Against this mixed backdrop, the Balanced portfolio benchmark returned -0.45% during the month.
Aug 115 min read


Weekly Market Review - 10-08-2026
Global equity markets moved higher this week, led by strong gains across US technology stocks. Elsewhere, rising Eurozone inflation strengthened the case for further interest-rate increases, commodities remained volatile, and geopolitical tensions continued to affect energy markets. We also examine the outlook for ECB leadership, climate-related risks to UK food production and the key economic releases ahead.
Aug 104 min read


Weekly Market Review - 03-08-2026
Markets remained broadly stable this week, despite further weakness across the major US indices and continued volatility in commodity prices. In this week’s review, we examine the latest US inflation figures, renewed uncertainty surrounding the Strait of Hormuz, the ECB’s warning over climate-related financial risks and the key economic data due in the week ahead.
Aug 34 min read


Weekly Market Review - 20-07-2026
UK equities proved resilient over the week, while US markets moved lower as technology stocks led the decline. Renewed fighting between the United States and Iran drove oil prices sharply higher and revived inflation concerns, while UK politics entered a new chapter with Andy Burnham preparing to take office. Looking ahead, markets will focus on UK inflation data and the ECB’s latest interest-rate decision.
Jul 205 min read


Weekly Market Review - 13-07-2026
Markets edged lower this week as renewed US-Iran hostilities pushed energy prices higher and revived inflation concerns. While the S&P 500 remained broadly stable, UK equities came under greater pressure. Elsewhere, America’s AI infrastructure boom began feeding through to technology and electricity costs, the ECB reassessed its interest-rate outlook, and attention turned to the economic impact of extreme heat and Europe’s simplified sustainability reporting rules.
Jul 135 min read


Weekly Market Review - 29-06-2026
This week, markets reflected a more cautious tone as investors balanced stronger blue-chip performance against renewed pressure on broader US equities and technology stocks. Political developments in the UK, easing inflation expectations in the Eurozone and falling commodity prices all shaped sentiment, while central banks continued to warn that stretched valuations, particularly around AI, could create risks if optimism begins to unwind.
Jun 295 min read


Weekly Market Review - 11-05-2026
Markets delivered another constructive week overall, with technology stocks continuing to lead gains as investor sentiment improved across US equities. Political developments in the UK, inflation concerns across Europe, and ongoing geopolitical tensions surrounding Iran and the Strait of Hormuz remained key drivers for markets, while central banks continued to signal a cautious approach toward interest rates amid persistent inflationary pressures.
May 116 min read


Weekly Market Review - 05-05-2026
Global markets continued to show resilience over the past week, with equities moving higher and investor sentiment improving despite ongoing geopolitical tensions and persistent inflation pressures. Strength in US markets, particularly within technology, helped drive gains, while commodities remained elevated amid supply concerns. At the same time, central banks maintained a cautious stance, reinforcing expectations that interest rates may stay higher for longer as policymake
May 54 min read
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