Dan Coatsworth and Danni Hewson explore the impact of more weakness in the pound, rising government bond yields and further hikes in interest rates on consumers and businesses in the months ahead.
They explore the fierce market reaction to the UK Government’s mini-Budget, why the Bank of England has stepped in to stop gilt yields getting worse, and why the IMF is not best pleased at Liz Truss and Kwasi Kwarteng’s policy decisions.
Dan explores the large number of chief executives who have quit FTSE 100 companies this year. And this week’s guest is Joe Bauernfreund who runs the AVI Japan Opportunity Trust. He talks about investing in Japan and how he takes an activist approach as a fund manager.
Fundsmith’s 10-year anniversary, Netflix’s big miss, outperforming ethical funds, Government clamp down on pension scams and Murray Income’s £1 billion merger
Tech stocks bounce back, smaller company investing, China’s dominance of emerging market indices and should you be allowed early pensions access to buy a home?
Companies that use data well, state pension age change, Boris’ latest leg-up for property buyers, and market see-saw on Trump debacle
Behind the scenes of private equity, Asda takeover talk, different job support measures and new insight into pension withdrawal trends
AIM inheritance tax benefit fears, investors revert to lockdown market playbook, potential good news on insurance prices, NS&I’s big rate cut and exploring negative interest rates
Is Snowflake the next big tech stock? Debt fears around buy now, pay later; and this year’s 10-baggers
The brains behind one of the best performing funds, controversial view on savings rates and why The Hut’s stock market debut is getting everyone excited
Tax reforms, avoiding corporate insolvency, resuming earnings guidance, and why the return to schools and offices matters to investors
The return of IPOs and takeovers, why Apple and Tesla are doing the splits, options for mortgage holidays and pension scams on the rise
Windfall for 18-year olds, US stock market record high, hospitality sector challenges, UK property market surge and what’s on fund managers’ minds
UK recession figures, savings for children rocket, pension worries and debt crackdown
Property funds shake-up, BP’s dividend cut, pensions slashed and Woodford saga update
The return of dividends, Greggs’ big challenge, state pension age court battle and the evolution of ESG funds
Mark Slater on growth opportunities, the rampant rise in biotech stocks, silver rally, why young investors have been spooked, and spending habits in lockdown
US stocks, Tesla, capital gains tax shock and small cap guru interview
Mini-Budget special: what the Chancellor’s giveaways mean for your money, Boohoo’s problems mount up and why Halfords is pedalling backwards
This year’s winning and losing investments, the art of shareholder activism, boardroom coups, the soaring gold price, cryptocurrencies still in demand, and mortgage approvals nosediving.
What investors think of pubs, parks and cinemas reopening, the latest twists and turns in the property market, and the income fund manager who has managed to dodge most of the dividend cuts
When to sell your stocks, the fading biotech rally, big news for BooHoo, Domino’s Pizza and Best of the Best, and what negative interest rates mean for you
Why stock markets have rallied, outlook for house prices, investment trusts cutting dividends and getting your will sorted in lockdown
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