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News & Views



May Monthly Market Review
Global markets advanced in May, supported by renewed strength in technology and AI-related sectors, with semiconductor-heavy markets such as Korea, Taiwan and the Netherlands leading gains. However, the backdrop became more complex as inflation pressures re-emerged, driven largely by higher energy costs linked to Middle East tensions. Central banks remained cautious, reinforcing a higher-for-longer stance, while bond markets came under pressure from rising yields.
2 days ago4 min read


December Monthly Market Review
Markets ended the year on a steady footing as central banks cautiously shifted toward supporting growth amid easing inflation. The UK and US delivered further rate cuts, while the ECB held policy steady as eurozone inflation aligned with target. Market performance was mixed, with strength in banking, fintech and Asian technology offset by weakness in parts of emerging markets. Multi-asset portfolios benefited from diversification, helping to cushion volatility and position in
Jan 153 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


Weekly Market Review - 24-03-2025
In this Weekly Market Review, U.S. markets saw a steady rebound, led by the Dow Jones, while the FTSE 100 dipped following the Bank of England’s decision to hold rates. Inflation expectations in the UK rose, adding pressure on policymakers. Meanwhile, global events—from copper price surges to Amazon’s new ESG initiative—continue to shape investor sentiment. Read on for insights into the week’s key developments across markets, central banks, and geopolitics.
Mar 24, 20253 min read
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