Multi-Asset: October Monthly Commentary

2 minutes read time In October geopolitical risk dominated the headlines with escalating tensions in the Middle East leading to volatility picking up, particularly in bond markets.

Multi-Asset: September Monthly Commentary

2 minutes read time In September, stock markets were volatile, Will Bartleet (CIO/Portfolio Manager) and William Thompson (CSO/Portfolio Manager) discuss how pressure from bond markets and a possible pause in the Federal Reserve’s rate hiking cycle could affect risk assets.