Articles
The rising cost of living can affect different asset classes in different ways but there are strategies to offset this and still make a profit, experts say
The bull market run came to an end after being dragged down by the global economic uncertainty, rising interest rates and high inflation
The bear market rally was triggered by traders and investors rushing to buy the first-half dip, experts say
Generation Z and millennials are driving the surge after a recent 'flash' of positive market sentiment
There are advantages and disadvantages to both drawing down from your retirement pot and buying an annuity
Undervalued stocks and a weak yen could make it the opportune moment to increase exposure to the country
The surging cost of living is more damaging as it erodes purchasing power and could trigger a wage-price spiral as workers demand more pay, analysts say
Tech is here to stay but the days of excessive valuations may be over, market analysts say
Easing of price pressures will lead to more demand for risk assets, equities, bonds and precious metals
As recession fears and record inflation continue to weigh on global markets, consumer staples, a strong US dollar and Boris Johnson's resignation as UK prime minister could provide opportunities for investors
US Treasuries have suffered the worst start since 1788 after falling by 9.8 per cent this year, triggering experts to question the 60/40 portfolio strategy
Investors should resist the temptation to become too risk averse, but should strike a balance to protect their assets against resurgent inflation, experts say
The world’s largest cryptocurrency has declined 55% this year amid widespread negative investor sentiment
Today’s situation is nowhere near as bad as the 2008 global financial crisis or the onset of the Covid-19 pandemic, experts say
While a strong US dollar and inflation weigh on some countries, rising commodity prices have boosted many Latin American economies
