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Energy markets have become the front line of the Iran conflict’s market impact. Geopolitical risk was widely anticipated, and crude prices had already moved higher in the weeks ahead of the attacks. However, the abrupt slowdown in physical flows through the Strait of Hormuz has introduced a new and more acute supply risk.
Disruptions linked to Iran have translated geopolitical risk into real oil supply constraints, reshaping global energy markets.
Paul Doyle, Head of Large Cap European Equities, takes us through the key takeaways.
Discussing the case for emerging market equities – including a weaker US dollar – and the potential benefits of adopting an active approach.
We have seen a softening in market momentum led by US equities and based around two factors. Firstly, there are reduced expectations for an interest rate cut in the aftermath of the October’s Federal Reserve (Fed) meeting.
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