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Episode overview
01.11 Reflecting on January: equities swooned, causing the global equities index to go down, with tech stocks bearing the brunt
05.18 Ben calls for a finesse of messaging: signalling of monetary policy tightening by central banks, particularly the Bank of England and the Fed, has caused market volatility
07.13 Ben and Charlie discuss whether trends will continue into the future
10.16 Bank of England: first back-to-back interest-rate hike since 2004, but how could this impact the UK economy?
18.41 January 2022 lived up to the expected volatility. Ben discusses the value in varied investments, but market volatility shouldn’t be ignored.
21.43 Rising tensions over Ukraine: geopolitical risk can have an impact on investments, but Ben reminds that moving portfolios can also cause risks. The key is to keep an eye and ensure investments are diversified.
Get in touch
If you have any feedback about the podcast or ideas for future episodes, we would love to hear from you. You can get in touch by emailing podcast@tilney.co.uk or calling us on 020 7189 2400.
Disclaimer
This article was previously published on Tilney prior to the launch of Evelyn Partners.