Insights

May 2022

Mark King

Head of Investment Content

Market Monitor - 6 May 2022

Rising interest rates and the threat of a new global recession have caused renewed turbulence on stock markets around the world this week, with high levels of uncertainty and anxiety among investors leading to major swings.
Read time - 2 min
May 2022

Mark King

Head of Investment Content

Market Monitor - 6 May 2022

Rising interest rates and the threat of a new global recession have caused renewed turbulence on stock markets around the world this week, with high levels of uncertainty and anxiety among investors leading to major swings.
Read time - 2 min

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6 May 2022

Mark King

Head of Investment Content

Market Monitor - 6 May 2022

Rising interest rates and the threat of a new global recession have caused renewed turbulence on stock markets around the world this week, with high levels of uncertainty and anxiety among investors leading to major swings.
Read time - 2 min
8 April 2022

Mark King

Head of Investment Content

Market Monitor - 8 April 2022

The threat of tighter monetary policy and the expectation of further negative economic impacts from the war in Ukraine have driven global share prices lower this week.
Read time - 2 min
25 March 2022

Mark King

Head of Investment Content

Market Monitor - 25 March 2022

Global stock markets have enjoyed a more or less positive week as investors have once again been happy to focus on whatever good news they can find.
Read time - 2 min
17 March 2022

Gene Tannuzzo

Global Head of Fixed Income

Alasdair Ross

Head of European Fixed Income

Brian Lavin

Head of High Yield

Credit Threads: Nowhere to hide

The first quarter of 2022 has seen fixed income markets experience an atypical correlation tantrum, with negative returns across regions and sectors. We speak to Gene Tannuzzo, Global Head of Fixed Income at Columbia Threadneedle Investments; Alasdair Ross, Head of European Fixed Income; and Brian Lavin, Head of High Yield, to find out why they are behaving this way.
Listen time - 26 min
11 March 2022

Mark King

Head of Investment Content

Market Monitor - 11 March 2022

Stock markets around the world have endured another turbulent week, with fears about the economic impact of the war in Ukraine continuing to dominate sentiment.
Read time - 2 min
4 March 2022

Mark King

Head of Investment Content

Market Monitor - 4 March 2022

Russia’s invasion of Ukraine has again dominated global markets this week, with uncertainty about the likely outcome of the war driving yet more sharp losses.
Read time - 2 min
25 February 2022

Mark King

Head of Investment Content

Market Monitor - 25 February 2022

Russia’s invasion of its neighbour Ukraine has caused a huge sell-off in global stock markets this week.
Read time - 2 min
18 February 2022

Mark King

Head of Investment Content

Market Monitor - 18 February 2022

Stock markets around the world have suffered heavy losses this week as geopolitical concerns have taken centre stage.
Read time - 2 min
11 February 2022

Mark King

Head of Investment Content

Market Monitor - 11 February 2022

New concerns about the pace of interest rate rises in the coming months have put a brake on global stock market gains.
Read time - 2 min
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Important Information

The research and analysis included on this website has been produced by Columbia Threadneedle Investments for its own investment management activities, may have been acted upon prior to publication and is made available here incidentally. Any opinions expressed are made as at the date of publication but are subject to change without notice and should not be seen as investment advice. Information obtained from external sources is believed to be reliable but its accuracy or completeness cannot be guaranteed.

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