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News & Views



Weekly Market Review - 16-02-2026
Global markets navigated a mixed week as investors balanced resilient UK equity performance against softer US returns and persistent inflation pressures. Fresh US inflation data reinforced the view that price growth remains above target, while central bank commentary signalled a continued data-dependent approach to policy. Meanwhile, shifts in US sustainability regulation and renewed diplomatic developments in the Middle East added further layers to an already complex global
Feb 164 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 - 26-01-2026
Markets remained cautious over the week as investors navigated persistent inflation concerns, mixed economic signals and restrained central bank messaging. UK and US equities moved modestly lower overall, though technology stocks outperformed. Commodities showed a clear split, with precious metals benefiting from safe-haven demand while energy prices stayed subdued. Geopolitical tensions and policy uncertainty continued to shape sentiment as markets look further into 2026.
Jan 265 min read


CleverMPS. 2025 5 Major Markets
2025 was a strong year for global equities, with most major regions delivering double-digit returns. Asia ex-Japan led on AI-driven tech gains and China stimulus, while Europe benefited from ECB rate cuts and Germany’s €500bn investment plan. Japan attracted foreign inflows following policy normalisation and corporate reform. Despite tariff volatility, resilient earnings and easing monetary policy supported positive returns across North America and the UK.
Jan 215 min read
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