Head of Portfolio Management, Roeloff Horne, discusses our asset allocation views against the Q1 2021 macroeconomic environment.
Shaun McDade, Head of International Portfolio Management, reflects on the first quarter of 2021, discussing the key influences and their impact on asset classes.
Head of Portfolio Management, Roeloff Horne, discusses our asset allocation views against the Q4 2020 macroeconomic environment.
2020 will be remembered as one of the more remarkable years in history, with financial markets being no exception. We’ve highlighted some key market statistics as we bring the year to a close.
Head of Institutional Asset Consulting and Optimisation, James Downie, looks back on the last quarter of one of the most remarkable years in history.
Portfolio Manager in Guernsey, Blair Campbell, offers some consideration for ESG investing after the Trump administration. While Biden campaigned with a progressive agenda for environmental concerns, deciding which sectors and industries will render the rewards remains the difficulty.