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News & Views



Weekly Market Review - 09-03-2026
This week’s Weekly Market Review highlights a more cautious tone across global markets as equities moved lower amid rising geopolitical tensions in the Middle East. We also look at the unexpected rise in Eurozone inflation, the sharp surge in oil prices driven by concerns around energy supply routes, and the latest policy signals from central banks. In addition, we explore the EU’s new long-term emissions target and the key economic data releases investors will be watching i
3 days ago5 min read


Weekly Market Review - 23-02-2026
Global markets rebounded strongly over the past week, with equities posting notable gains following a more cautious tone earlier in the month. The improvement in risk sentiment comes against a complex backdrop of easing UK inflation, renewed US trade policy developments, and widespread weather-related disruption affecting supply chains across multiple regions.
Feb 235 min read


Weekly Market Review - 09-02-2026
Global markets were mixed over the week as investors weighed easing inflation expectations against political and geopolitical uncertainty. UK equities posted modest gains, supported by large-cap stocks, while US markets diverged, with defensive sectors outperforming as technology shares came under renewed pressure. Central banks maintained a cautious, data-dependent stance, and attention now turns to a busy week of economic data that could shape near-term market expectations.
Feb 95 min read


Weekly Market Review - 02-02-2026
Global markets were mixed over the past week as easing inflation expectations were weighed against ongoing policy uncertainty and geopolitical developments. UK equities moved higher, supported by resilient large-cap stocks, while US markets finished lower amid a more cautious risk tone. Inflation forecasts continued to improve, with the IMF signalling further disinflation, while central bank policy, commodity price volatility and geopolitical developments remained key drivers
Feb 25 min read


Weekly Market Review - 29-09-2025
Markets ended September with diverging performances, as UK equities outpaced global peers while U.S. indices split between industrial strength and tech weakness. Safe-haven demand lifted gold to new records, while oil prices fluctuated on supply headlines. Central bankers struck a cautious tone, with the Bank of England signalling confidence in disinflation and the ECB describing inflation as “reasonably benign.”
Sep 28, 20253 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
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