NewsInsolvencies herald the bearsDelinquencies and consumer debt cycles point the way for UK indicesSave22 February 2018
Taking StockUnenlightened self-interest The reaction to Carillion's collapse and our continued membership of the EU Customs Union betray a mercantilist impulse Save15 February 2018
Taking StockAmerica first – but who are the runners-up?Changes to the way in which US multinationals are taxed could signal a sharp reduction in the country's investment stock abroadSave7 February 2018
Taking StockCompanies face beefed-up data legislationThe push to regulate the way that digital data is held presents a growing risk factor for investorsSave31 January 2018
Taking StockFinancial services in a post-Brexit eraThe government's stance on the post-Brexit future for financial services remains open to conjectureSave25 January 2018
Taking StockTake a look at banks in 2018 for incomeCity analysts have been highlighting improved income prospects for the banks in 2018 – but regulatory risks remainSave17 January 2018
Taking StockLiquidity, complacency and the US mid-termsLiquidity issues generally prefigure market corrections, but the draw of risk assets could persist for a while yetSave10 January 2018
Taking StockWhat the bond surge says about emerging marketsA record year in bond issuance could provide a pointer to the underlying strength of emerging market economies – but then again...Save4 January 2018
Taking StockReading the signs for the New YearCould the repo trade unleash the bears?Save27 December 2017