top of page

News & Views



Part One - The Psychology of Investing: Why Emotion Can Derail Returns
Behavioural finance reveals a harsh truth: the biggest risk to an investor’s success is often themselves. The disposition effect—selling winners too soon and holding losers too long, is a common trap driven by emotion, not logic. Neuroscience shows how dopamine and fear shape our decisions, making discipline and strategy essential for long-term success.
Aug 123 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 114 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 73 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 34 min read
bottom of page