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UK ECONOMY News & Analysis
Markets
As recessionary concerns grow and mortgage mayhem continues to hit consumers, the Bank of England's battle to contain the fire of inflation has...
Ollie Smith | 22 June 2023
Fixed Income
Bank warns disruption in the markets is a real risk to financial stability.
James Gard | 29 September 2022
Stocks
UK stocks have been underloved for many years, but factors are starting to combine in their favour, including an improving economy and value recovery.
Dan Lefkovitz | 18 May 2021
Stocks
Latest blow to income seekers as UK's biggest banks forced by regulators to cancel 2019 and 2020 dividends.
James Gard | 02 April 2020
Markets
Sterling and UK shares surged as the scale of the Conservative party’s victory emerged last Friday, writes Morningstar UK's James Gard.\n
James Gard | 16 December 2019
Markets
Morningstar Investment Management's Mike Coop looks at the likely impact of the Conservative election win on UK equities.
Holly Black | 16 December 2019
Funds
With a General Election slated for December and Brexit postponed until 2020, investors should consider how their portfolios are positioned for more...
James Gard | 04 November 2019
Stocks
Britain’s ongoing Brexit saga has seemingly failed to spook investors, despite Boris Johnson’s failed pledge to quit the European Union by Halloween.
Anthony Fensom | 28 October 2019
Markets
The new UK Prime Minister is expected to cut taxes and boost spending, but a lack of clarity on Brexit is holding back UK shares and the pound.
James Gard | 24 July 2019
Markets
If the UK leaves the European Union with a Brexit deal, the Governor of the Bank of England is likely to make a policy mistake by hiking interest...
David Brenchley | 09 April 2019
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