This week, we look at what to expect in 2021 from Brexit, including its impact on the UK’s financial services sector, the political challenges ahead, and if the market’s strong start to the year has made investors too complacent, with Nicky Eggers (Head of Investments), Olivia Gleeson (UK Government Relations Expert), and Hao Ran Wee (Senior Investment Strat ... Show More
Aug 21
#336 Summertime ruminations
This week, Sophie Barrington talks to Sean Markowicz about UK and US inflation data, what the detail beneath the surface reveals about the state of price pressures, and how markets are pricing the future. To read news and insights from Barclays Wealth Management, visit https://ww ... Show More
13m 23s
Dec 2020
What’s in store for investors in 2021?
For many, 2020 will be a year they would rather forget. Whether the pandemic affected their health, their families or their finances, its effects will be evident for some time to come. Investors across the globe also suffered a rollercoaster ride in 2020, with markets experiencin ... Show More
23m 1s
Oct 2022
The Download: The pound under pressure
This episode, David Riley, Chief Investment Strategist, BlueBay Asset Management, joins Dave from London to discuss the recent financial and economic challenges in the UK, including extraordinary weakness in the pound following news of the British government’s proposed tax cuts. ... Show More
30m 15s
Nov 2021
Inflation and the Stock Market: A complicated history
Sam Stovall, Chief Investment Strategist for CFRA Research, joins the show to walk us through how historic rises in inflation have impacted markets, and what we should watch out for this time. Plus, speculation reverses as the hottest stocks of early 2021 have fallen from grace, ... Show More
26m 54s