Fund buyers have started to take risk off the table in their portfolios amid a worsening liquidity backdrop, continued macro uncertainties and the growing threat of a policy error from the US Federal Reserve.
Equity markets suffered record-breaking falls during ‘Red October' as a cocktail of risks - including concerns over the Fed's tightening cycle and FAANG valuations - took their toll sending the S&P 500...
What made financial headlines over the weekend?
Regardless of Brexit outcome
Prefer hard assets and cashflow
£15bn investment gap
Replaced by Stephen McPhillips