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11Jul2016
In the current volatile environment we like to focus on the returns investors can achieve if they look beyond the short-term noise. Back in 2010 we set out two ‘Trade of the Decade’ ideas. Here is an update on the first of those: India.
By Sam Lees
Access Level | member
Fund analysis
07Jul2016
“Property funds in turmoil” screamed the Guardian headline on Wednesday. This is nonsense. Here's the second of our Property Blogs, to give some perspective.
By Brian Dennehy
Market commentary
In the first of two blogs on Property this week, here are some answers to the most common questions we have been asked in the last two days:
01Jul2016
So we’re out of Europe, the pound looks weak and our highly paid footballers failed (miserably) to progress. If you just read the headlines you might think that it’s all doom and gloom but it isn’t.
Brexit unsettled investors in recent days but not to the extent predicted. While the vote is a watershed event investors mustn’t lose sight of larger investment themes that will drive returns over the longer-term. Here we look at four themes and how you can exploit them.
30Jun2016
Our six-month review of the best and worst sectors. Use this to quickly identify which sectors are doing well.
This month was dominated by the Brexit vote. Gold and commodities ruled the roost while UK equity funds fill up the bottom table.
What's Hot What's Not
24Jun2016
A summary of the investment implications, with an emphasis on the opportunities, is set out below.
17Jun2016
With Brexit using up most of investors' brain power it's worth taking a moment to pause and remember that Brexit isn't the only game in town. There are other clouds on the horizon.
With the possibility of Brexit rising, it is a good time to review where the UK market might head next, so we aren’t too scared and can prepare to pick up bargains.