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News & Views



Weekly Market Review - 23-03-2026
Global markets faced a challenging week, with rising geopolitical tensions and renewed inflation concerns weighing on investor sentiment. Volatility increased across asset classes as developments in the Middle East introduced fresh uncertainty around energy prices and the broader economic outlook. Against this backdrop, investors have adopted a more cautious stance, with markets increasingly sensitive to both geopolitical developments and central bank signals.
Mar 236 min read


September Monthly Market Review
Global markets advanced in September 2025 as the Fed cut rates for the first time this year, while the BoE and ECB held steady. Strong performances in commodities and China-focused sectors powered broad equity gains, with the Netherlands and Peru leading the way. Despite persistent inflation, improving sentiment and policy support lifted the Balanced portfolio Index by 1.58%, signalling renewed investor confidence.
Oct 30, 20253 min read


Macro Note: Tariff Turbulence Turns Tranquil
Recent trade tensions between the United States and China triggered brief market turbulence following new tariff and export control announcements. Despite initial volatility, conciliatory statements from both sides have calmed investor sentiment, with markets showing signs of stabilisation and optimism for future dialogue—particularly ahead of the APEC Summit.
Oct 13, 20252 min read


Weekly Market Review - 06-10-2025
Global markets opened October on firmer ground, led by UK equities and record highs in precious metals. While U.S. gains were steadier, renewed political tension in Europe and volatile oil prices kept investors cautious. Inflation in the euro area edged above target, reinforcing expectations that central banks will hold steady as markets navigate a delicate start to the fourth quarter.
Oct 6, 20253 min read


Weekly Market Review - 08-09-2025
Markets opened September with mixed results, as UK equities inched higher while U.S. indices diverged. Commodities strengthened on supply risks and central bank policy expectations, while UK housing and inflation developments added to uncertainty. Investors now turn to key inflation data, GDP figures, and central bank decisions in the week ahead.
Sep 8, 20253 min read


July Extended Market Update
Global markets in July showed resilience but faced sharp volatility. Strong earnings and steady growth lifted equities in the U.S., UK, Eurozone, and Japan, yet trade tensions, rising public debt, and mixed inflation created uncertainty. Bond yields climbed, currencies weakened in key regions, and late-month policy concerns reminded investors how quickly sentiment can shift.
Aug 1, 20259 min read
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