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News & Views



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


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


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


April Monthly Market Review
Interest rate cuts in the UK and Europe, U.S. trade tensions, and shifting inflation trends shaped a volatile April. Discover how markets and sectors responded.
May 1, 20254 min read


February Monthly Market Review
Markets trended sideways in February amid rising inflation and geopolitical uncertainty. The Balanced portfolio returned -0.37% as UK and EU rate cuts contrasted with the US Fed’s cautious stance. Inflation rose across regions, with UK CPI hitting 3.00% and the ECB reassuring that disinflation remains on track. While developed and emerging markets showed mixed performance, China led gains. Volatility persists, but history suggests potential progress as the year unfolds.
Mar 3, 20254 min read
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