Talking your Book

Listening to the latest Twin Pete’s Investing podcast (which can be found here or here for those heathens that aren’t already dedicated followers), I was particularly interested by a segment where they discussed transparency of investors presenting ‘research’ on social media. The reason I was so interested was because of my own management of this

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Sovereign Debt Crisis: The economic consequences of COVID-19

In 2008-09 we had a financial crisis; a credit crisis that required immense levels of government intervention in global financial markets. In the case of the UK, this included hundreds of billions of pounds in quantitative easing and an effective elimination of positive interest rates. Several UK banks required direct injections of capital and one

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Bonds in 2021

Most investors will be aware of the 60/40 model for cautious investors seeking growth in the markets whilst avoiding the turbulence of a pure equity portfolio. In this model, the portfolio is comprised of 60% equities and 40% bonds. Historically, bonds have much lower volatility than equities, causing the overall value of the portfolio to

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