Analysis
Fixed Income | analysis 8 Sep 16
Will negative yielding bonds cause next financial crisis?
Sanofi and Henkel have faced a fair amount of derision from commentators this week having both issued negative yielding corporate bonds, but could this be a sign or major troubles to come in fixed income markets?
Best Practice | analysis 8 Sep 16
Don’t dismiss fintech revolution, but don’t romanticise it
A random walk through the world of wealth management.
Macro Views | analysis 7 Sep 16
Excess liquidity ‘likely to constrain growth’ for years
Tilney Bestinvest’s Gareth Lewis advocates a cautious approach in the wake of Brexit and the continuing low interest rates and quantitative easing climate, with investment in gold proving a successful option.
Best Practice | analysis 5 Sep 16
Tips on how to engage with clients
In the first in a series of three, Julie Littlechild, founder of Absolute Engagement, explores the importance of advisers and clients working together to enhance customer engagement.
Europe | analysis 2 Sep 16
ANALYSIS: Italy now the real threat not Brexit
The Italian constitutional reform referendum this autumn will, or rather should, cause European investors to hold their breath more anxiously than they did on the morning of 24 June.