Adam has been a freelance journalist and content editor since 2015. A journalist and editor with over 15 years experience, until 2015 he worked as editor of Fund Strategy for three years, and worked on the same title as deputy editor there seven years. Prior to this he was reporter at Investment Week.
China bounce-back tempered by curbs to tech heavyweights
Strong Q1 figures belie significant stock market corrections and less fiscally accommodative government policy
Covid no longer biggest stock market threat
As more managers expect a ‘V’ shaped recovery
Are recent leverage scandals blips or an emerging trend?
Investors should be cautious but not fearful
What is driving the reflationary spike?
And which assets will be most affected?
Are emerging markets the answer to low yields?
They could be a potential source of income ‘where many assets have stretched valuations and tight spreads’