Taking StockGibson, brand cache, and the bond discrepancy The plight of an American legend highlights the fragility of the corporate bond marketSave7 March 2018
Taking StockDefensives remain on the defensive in 2018Consensus figures point to another gravity-defying performance for earnings Save27 February 2018
NewsInsolvencies herald the bearsDelinquencies and consumer debt cycles point the way for UK indicesSave22 February 2018
Taking StockUnenlightened self-interest The reaction to Carillion's collapse and our continued membership of the EU Customs Union betray a mercantilist impulse Save15 February 2018
Taking StockAmerica first – but who are the runners-up?Changes to the way in which US multinationals are taxed could signal a sharp reduction in the country's investment stock abroadSave7 February 2018
Taking StockCompanies face beefed-up data legislationThe push to regulate the way that digital data is held presents a growing risk factor for investorsSave31 January 2018
Taking StockFinancial services in a post-Brexit eraThe government's stance on the post-Brexit future for financial services remains open to conjectureSave25 January 2018
Taking StockTake a look at banks in 2018 for incomeCity analysts have been highlighting improved income prospects for the banks in 2018 – but regulatory risks remainSave17 January 2018
Taking StockLiquidity, complacency and the US mid-termsLiquidity issues generally prefigure market corrections, but the draw of risk assets could persist for a while yetSave10 January 2018
Taking StockWhat the bond surge says about emerging marketsA record year in bond issuance could provide a pointer to the underlying strength of emerging market economies – but then again...Save4 January 2018