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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


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


ESG in 5 Sustainability News - 09-12-2025
This week’s review covers market movements, central-bank signals and notable ESG developments, including new climate-risk rules and major corporate sustainability initiatives. It offers a concise view of the economic and regulatory forces steering investor sentiment as year-end approaches.
Dec 9, 20252 min read


Weekly Market Review - 08-12-2025
This week’s review highlights mixed equity performance, fresh signals from central banks and key developments across commodities, ESG and geopolitics. With major data releases limited, markets are focused on policy direction as we head into year-end. The update provides a concise view of global conditions and what to watch in the days ahead.
Dec 8, 20255 min read
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