Global financial markets have experienced an historic start to 2020, from initial optimism to complete panic and now to some early signs of stability. The pathway back to normality is unclear and volatility is likely to be a feature for some time.
How have various markets responded to the uncertainty gripping global economies?
In this inaugural Investments & Capital Markets Update, Jon Tindall looks back over the last four months across equities, fixed interest, FX and commodity markets and considers the implications for investment portfolios and capital markets.
This market update is not providing investment advice and the information in this newsletter is of a general rather than specific nature and does not take into account the personal circumstances of the reader.Download