On this week’s Money and Markets podcast Danni Hewson and Dan Coatsworth assess why October has been such a bad month for equities.
They discuss the good and bad of recent earnings updates including McDonald’s and Coca-Cola beating expectations and BP disappointing.
Get the lowdown on big names in the retail sector. It might be the “golden quarter” now but it’s not all been shiny for online retailer ASOS. Next has raised its profits outlook once again but what does the sale of Missguided to Shein mean for Frasers?
Buy now, pay later has boomed but there are warnings the facility is sending thousands of people into a spiral of debt. Danni and Dan also talk about the decline in UK mortgage approvals, the rise in company insolvencies and why the future looks bleak for WeWork.
Dan also catches up with a fund manager who is smashing it out of the park – James Rutland explains how he’s managed to deliver more than twice the IA Europe sector over the past three years with the Invesco European Focus fund.
Nick Train on another challenging year for Finsbury Growth & Income, thoughts on Unilever’s CEO departure and why he remains optimistic
Outlook for tech stocks, we grill the boss of NS&I, and reasons to be positive on bonds
How the Autumn Statement affects you and your money, and does Black Friday matter anymore?
Inflation takes a bite out of retail, Bill Ackman and tech layoffs
Windfall taxes and rate rises
Rishi’s market bounce, Made.com collapse, bumper US earnings and bond fund explainer
What the mini-Budget U-turns mean for your money, markets and pensions
The safety of pensions, top tips for mortgages and the big stories on the stock market
Learning from the 1970s, and why stocks, the pound and mortgage and savings rates are going up
How the falling pound, rising gilt yields and higher interest rates affect consumers and businesses
Profit warnings flash red and markets brace for further rate hikes
Inflation, savings tax trap, Fundsmith fund closure and the great un-retirement
Scottish Mortgage fund manager grilled, investors react to new UK Prime Minister, and FTSE 100 stocks with best dividend yields
BP, buybacks, banking results, bumper borrowing and big recession worries
Earnings season winners and losers, bond market struggles, and how man stacks up against machine when picking investments
It’s all about inflation as UK CPI hits another 40-year high
Best deals on cash, how Ruffer protected investors’ money and cracks in the inflation story
What’s hitting the new Chancellor’s to-do list, UK growth fears, pound falls and outlook for UK banks
Miners, defence stocks and the return of the pension triple lock
Money budgeting tools, why takeovers aren’t always good news, and important things to consider before drawing on your pension
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