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News & Views



Weekly Market Review - 26-05-2026
Markets moved higher over the week as investor sentiment improved across both UK and US equities. Gains were supported by renewed appetite for risk assets, although investors continued to monitor inflation pressures, higher energy prices and ongoing geopolitical tensions in the Middle East. The week also highlighted the growing economic importance of climate-related disruption, with the UK heatwave adding pressure on infrastructure, public services and household costs.
May 265 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


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 23, 20254 min read


Weekly Market Review - 16-06-2025
Markets retreated this week amid rising geopolitical tensions, with only the FTSE 100 posting gains. Trump and Starmer signed a partial UK–US trade deal at the G7, while the ECB and BoE signalled caution amid inflation concerns. Oil prices rose on Middle East escalation. Meanwhile, Lululemon deepened its ESG commitment through a new recycled materials deal.
Jun 16, 20254 min read
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