A deep deficit for silver

Silver bars with a background of commodity market charts

Ned Naylor-Leyland and Daniel March discuss why demand for silver is outstripping supply and what this imbalance may mean for investors in the white metal.

European equities – not a market to ignore

European maps and euro currency

Caroline Cantor, Mark Nichols and Mark Heslop discuss European equities’ performance, valuation and diversification properties – and share a few surprising facts.

Bonds: Finding value in a lopsided world

Globe & US Dollars

Mark Nash, Huw Davies and James Novotny discuss the divergence in monetary policy between the US and Europe and how that’s creating opportunities in the bond markets.

Japan: good value, or just cheap?

Japan for sale sign

Dan Carter and Mitesh Patel address the topic of share price valuations in the Japanese
market. They’re undeniably low, but are Japanese stocks good value, or just cheap?

‘Gradually, then suddenly’: monetary tightening starts to bite

People carrying shopping bags walking on the street

Accidents have already disrupted markets, but are there more to come? How soon might the Federal Reserve loosen policy? Ariel Bezalel and Harry Richards give their view.

What’s behind the rise in gold and silver?

Gold Market Price Rising Illustration

Ned Naylor-Leyland and Daniel March discuss the macro, market and technical factors behind the bullish moves in gold and silver.

Notes from the Investment Floor: The stage is set for emerging markets

A person is pulling a curtain on the stage

Nick Payne reflects on the differing fortunes of developed and emerging markets, as the stage seems set for emerging markets to come to the fore once again.

The best that the Asia Pacific region can offer

An Indian flag and an Australian flag with a map of Asia

Jason Pidcock and Sam Konrad outline the diverse opportunities in the Asia Pacific region, particularly the complementary strengths of Australia and India.

Not banking on it

Bank

Phil Macartney, European equities investment manager, argues that bank shares carry more risk than reward and should be avoided – even in the best of times.

ESG integration for macro investors

blue globe of the Earth in space

Mark Nash, Huw Davies and James Novotny explain how they integrate ESG into their macro investment process.