Q3 2022 began on a somewhat optimistic note. Inflation drivers – especially oil & food commodity prices – appeared to have peaked and there was hope that inflation would moderate…
By preferring investments that offer international exposure and give a high return as well as choosing assets that are able to withstand inflation, investors can preserve their capital’s value regardless…
Once again, it’s been a quarter to test the mettle of investors; there is no sugar coating it – this was the most turbulent first half global markets have ever…
In summary, the first quarter of 2022 was the most volatile quarter for markets since the depths of the pandemic in 2020, as numerous threats to economic growth emerged. As…
Global equity prices weakened a further 1.1% in February after a sharp 6.2% decline in January, as persistent global interest rate and inflation worries were joined by a new risk…
https://youtu.be/S0JQYp35gLM 1. US Stock Markets Power through Concerns There is no better way to describe it – 2021 was a historic year for US Stock markets. Stocks overcame numerous headwinds…
November kicked off with three main areas in focus: surging energy prices, interest rate uncertainties and the persistence of supply chain disruptions.
https://youtu.be/mNI4lN7-r9I Highlights Developed market shares were flat (in US dollar terms) in Q3. Declines in September erased prior gains. Emerging market equities underperformed amid a sell-off in China.Global sovereign bond…
Any good fund manager should have compliance and risk management at the core of its operations. What is its role and what does this mean for your investments? Let’s explore
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