There are 10 item(s) tagged with the keyword "commodities".
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The taper tantrum of 2013 showed how sensitive emerging markets (EMs) were to higher US rates, but there are some important differences this time around.
We need to remain humble and nimble as we assess the changing investment landscape and seek to fulfil our purpose: to create a better future through responsible investing.
As inflation and slowing growth grips the global economy, listen to Sean Markowicz reveal which asset classes are likely to outperform if stagflation comes to pass.
From the grid to our individual households, are clean energy targets achievable by 2030? This Schroders TV episode explores the obstacles to overcome and the opportunities for investors.
The Ukraine crisis highlights the need for investors to be ready for risks.
A review of markets in May when shares were supported by an increasing focus on how lockdowns would be lifted.
A look back at markets in January when the spread of coronavirus saw investors favour "safe haven" assets like government bonds.
Gold posted its fifth straight monthly drop and has fallen almost 8% YTD despite escalating trade tensions and geopolitical risks. In this month’s update, Ritu Vohora, Investment Director looks at why the precious metal seems to have lost its lustre and safe haven status.
Bill McQuaker takes a look at the three main drivers behind the rising cost of oil and what that means for investors. How does an inflated oil price impact on the fundamentals and where can investors still find opportunities in a more volatile world?
Equity investors enjoyed the spring sunshine this week. The S&P 500 was up 1.4% by Thursday’s close. The FTSE 100 and the FTSE World Europe ex UK indices gained 1.0% and 1.2%, respectively.
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