European investors face more asset allocation challenges in 2022

Since the Global Financial Crisis, it has been a turbulent ride for investors the world over. Europe has certainly been no exception: investors in the region have had to adapt to a high-risk environment. And as COVID-19 has introduced a new set of challenges to portfolio construction and return generation, robust risk management strategies are a top priority; wealth protection is as important as growth.

Posted 1 year 9 months ago

Yield compression and margin levels raise concerns about market risk

We’ve regularly discussed rates and inflation in 2021 as two key drivers of global markets. With lower expected future returns on fixed income, these drivers give credence to the idea that many institutional investors would need to move further out on the curve (take more risk) and/or use leverage to meet their financial obligations. Both of which now appear to be happening.

Posted 2 years 1 month ago

India’s gold market in July: imports rebound as retail demand improves with easing of lockdown restrictions

Retail demand was mixed in June: moderate strength in the first half of the month was followed by a softening of demand in the second half due to an absence of wedding dates. Official imports rebounded with easing of lockdown restrictions and the local market flipped back to discount as demand softened from mid-July onwards

Posted 2 years 2 months ago

Markets stifled on Freedom Day

Monday, July 19 marked an eagerly anticipated milestone for the UK. ‘Freedom Day’ as it was dubbed, officially closed the chapter on over a year of local COVID-19 restrictions. But it arrived amidst soaring cases of COVID-19 worldwide – the UK included. Concern over the new variant strains has not only put a dampener on the reopening in the UK, but perhaps the global economic recovery.

Posted 2 years 3 months ago