Rates are rising: what does this mean for your portfolio? May 30, 2022 - Uncertainty is higher now than earlier in the recovery, and investors are anxious about rate increases’ timing, magnitude and knock-on economic effects.
CC&L Private Capital's first-quarter financial market summary and outlook April 07, 2022 - This quarter inflation accelerated, Russia invaded Ukraine and central banks increased rates to cool the economy.
Ukraine war: portfolio review March 23, 2022 - We speak to some questions received and provide insights into how we are currently managing portfolios.
CC&L Private Capital's fourth-quarter financial market summary and outlook January 07, 2022 - Equity market returns were strong this quarter as the economy showed resilience in the face of higher COVID cases and more lockdowns.
Weekly Markets Roundup - Two economies, two speeds January 23, 2026 It has been an eventful week for markets, with politics shaping near-term sentiment.
Weekly Markets Roundup - Why global opportunities are expanding January 16, 2026 Several macroeconomic forces are gradually shifting. Recent United States (US) inflation data has been somewhat more encouraging, the Federal Reserve (Fed) appears to have more flexibility than it did last year, and the US dollar is facing growing headwinds