This paper, written by Karen Ward, addresses the latest Bank of England’s base rate of interest announcement and its investment implications.
This paper, written by Dr. David Kelly and Meera Pandit, analyzes the current U.S. economic growth with its factors and investment implications.
This paper, written by Karen Ward, provides an update on Brexit following Prime Minister Theresa May's cabinet meeting and the subsequent resignation of David Davis, Brexit Secretary.
This paper, written by Dr. David P. Kelly, addresses the main implications of this week’s U.S. Federal Reserve meeting.
This paper, written by Hannah Anderson, responds to the latest escalation in the U.S.-China trade dispute and discusses how investors can position themselves for rising trade tensions.
This paper, written by Hannah Anderson, address the outcome of recent U.S.-China trade talk and its investment implications.
For Asian investors, it is important to recognize that political and policy risks and financial assets do not necessarily follow a simple one-for-one relationship.
Tai Hui, Chief Market Strategist for APAC, discusses which fixed income asset class Asia investors should consider.
As widely anticipated, Emmanuel Macron’s La Republique en Marche party has won an absolute majority in the French National Assembly after the second round of legislative elections on Sunday 18 June.
This paper, written by Vincent Juvyns, highlights the result of European Parliament elections and its investment implications.