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macro views

Blog

Europe: Coming together again?

With an evolving macro and geopolitical backdrop driving changes within the eurozone, we consider the investment implications.

13 May 2024 Ella Hoxha
Blog

Market outlook: A case of déjà vu?

We analyse how potentially higher-for-longer inflation could influence markets over the coming months.

24 April 2024 Paul Brain
Blog

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01 April 2024 Paul Brain
Blog

China and the West: A tale of two inflations

We analyse how China’s economy is influencing inflation rates across the developed and emerging world.

09 February 2024 Newton fixed income team
A mood of change
Blog

Absolute-return investing: A new golden age?

Why we believe a changed macroeconomic backdrop makes an absolute-return investment approach increasingly relevant.

19 January 2024 Paul Brain, Catherine Doyle
2021: better income outcomes?
Blog

Global equities outlook 2024

We reveal the themes and sectors that we believe will help us to unlock long-term growth in 2024.

15 January 2024 Louise Kernohan
Architecture, Building, Cityscape
Blog

Macro-geopolitical 2024 outlook: Pivotal election year ahead

With several key trends set to reach an important climax in 2024, we consider the investment implications.

06 December 2023 Newton fixed income team
Insights
Blog

Fixed-income outlook: Bonds beating cash

After two difficult years, we explain why we believe the prospects for bond investors are improving.

27 November 2023 Jon Day
Ukraine: War, Peace and Reconstruction
Blog

Ukraine: war, peace and reconstruction

What recent events in Russia could mean for the Ukraine war and Europe’s mid-term inflation outlook.

31 July 2023 Newton fixed income team
First Republic demise a symptom of higher rates
Blog

First Republic demise a symptom of higher rates

Our thoughts on First Republic's collapse and what it means for the future of the banking sector.

09 May 2023 Vivek Gautam, Michael Holton
Megacities medium
Blog

SVB: Breaking the system?

Could we see further financial casualties this year?

20 March 2023 Paul Brain
Blog

Retake on Double Take: Commercial real estate

We examine the future of commercial real estate and its implications for employers and employees alike.

02 February 2023 Jack Encarnacao, Raphael J. Lewis
Russia and China: a new world order
Blog

Geopolitical outlook: how ‘great power competition’ will define 2023

How the theme of ‘great power competition’ could shape the macroeconomic backdrop in 2023 and beyond.

23 January 2023 Newton fixed income team
Blog

Global bond outlook: how far can the rally go?

How far can the bond rally go?

04 January 2023 Paul Brain
Blog

Are gilts still under pressure?

We assess the impact of the UK government’s Autumn Statement on the gilt market.

23 November 2022 Carl Shepherd
Retake on Double Take: A UK Winter of Discontent
Blog

Retake on Double Take: A UK Winter of Discontent

In the latest Double Take, we examine the investment implications of the continuing energy crisis enveloping the UK.

25 October 2022 Jack Encarnacao, Raphael J. Lewis
Policy response
Blog

Vladimir Putin: Mr three per cent?

We examine how the Russian leader’s actions have affected the market’s risk premium and what might happen next.

21 October 2022 Newton fixed income team
Wristwatch, Coin, Money
Blog

Retake on Double Take: Compliant crypto

We investigate the rapidly evolving world of cryptocurrency compliance as financial institutions plan to expand into digital assets.

20 October 2022 Jack Encarnacao, Raphael J. Lewis
Blog

UK mini budget: The closest thing to crazy?

We analyse potential consequences of new UK fiscal and monetary policy for UK bonds and the wider economy.

27 September 2022 Howard Cunningham
The power of divergence
Blog

The power of divergence

We analyse how diverging economies can create opportunities for bond investors with a global mindset.

01 September 2022 Paul Brain
Retake on Double Take: The Reshoring Decision
Blog

Retake on Double Take: The reshoring decision

We discuss the macroeconomic factors driving the potential return of manufacturing jobs to the US.

26 July 2022 Raphael J. Lewis, Jack Encarnacao
The end of globalisation as we know it
Blog

The end of globalisation as we know it

Why deglobalisation and supply shortages are leading to greater government intervention.

29 June 2022 Simon Nichols
Spinning on a new inflationary axis
Blog

Spinning on a new inflationary axis

We examine the conditions that have led to increasingly high levels of inflation.

27 June 2022 Brendan Mulhern
Global Equities: Navigating a Volatile Backdrop
Blog

Global equities: Navigating a volatile backdrop

We discuss how our global equity specialists are managing the volatility of today’s market landscape.

06 June 2022 John R Porter III
Retake on Double Take: A Nuclear Renaissance?
Blog

Retake on Double Take: A nuclear renaissance?

We discuss the potential of nuclear energy and how it may fit into the global energy transition.

26 May 2022 Raphael J. Lewis, Jack Encarnacao
Blog

Russian bear, Chinese dragon: feasting on honey or playing with fire?

As conflict continues in Ukraine, we assess the potential investment implications arising from evolving Sino-Russian relations.

08 April 2022 Newton fixed income team
Server, Computer, Hardware
Blog

Retake on Double Take: Data privacy and regulating big tech

We investigate how big tech companies are mining personal data, and how regulators and lawmakers are responding.

07 April 2022 Raphael J. Lewis, Jack Encarnacao
Ukraine Russia war soldier
Blog

Russian bear: grizzly and exiled

We examine the long-term global structural impacts of the Ukraine war and Russia’s pariah status.

21 March 2022 Newton fixed income team
On the rise…
Blog

On the rise…

We assess what the Fed’s latest monetary-policy signalling could mean for bond markets.

28 January 2022 Paul Brain
Deal or no deal?
Blog

Deal or no deal?

We assess Russian President Vladimir Putin’s list of demands over Ukraine and future implications for Europe’s security architecture.

20 January 2022 Newton fixed income team
Nature, Outdoors, Night
Blog

Remember, remember, the fourth of November

We assess the impact of a potential rate rise by the Bank of England next week.

29 October 2021 Howard Cunningham
A monetary regime change or just a mild bout of inflation?
Blog

Not another financial crisis

Why we believe the post-Covid recovery will be different from the post-financial crisis period.

14 October 2021 Brendan Mulhern
On the defensive
Blog

On the defensive

With protectionist measures on the increase globally, we discuss some of the opportunities and risks for investors.

25 May 2021 Matthew Brown
Inflationary Fears Overdone?
Blog

Inflationary fears overdone?

We assess the near and mid-term implications of central-bank and government policy for bond markets.

07 April 2021 Paul Brain
COVID-19: UK bond market impact
Blog

Going for (green) growth

We assess the implications of the UK Budget for bond markets and the wider economy.

04 March 2021 Howard Cunningham
Is the stage set for inflation?
Blog

Is the stage set for inflation?

Will inflation finally re-emerge in a post-pandemic recovery, and how can a balanced portfolio prepare for it?

01 February 2021 Aron Pataki
State of play
Blog

State of play

As policy intervention ratchets up to new levels in response to Covid-19, what are the implications for investors?

18 January 2021 Matthew Brown
Gold, Box, Treasure
Blog

Gold: tailwinds?

We discuss the outlook for the precious metal.

14 December 2020 Catherine Doyle
Market melt-up?
Blog

Market melt-up?

Could the US election outcome and hopes of an imminent Covid-19 vaccine keep markets trending upwards?

12 November 2020 Brendan Mulhern
US election
Blog

US election: bond investors shift focus to 2021

We discuss how bond markets have responded to the US election.

09 November 2020 Paul Brain
Blog

Beyond Covid-19: The ‘U-bend’ recovery

Why we believe the post-pandemic economy will take some time to get back to pre-crisis levels.

20 August 2020 Paul Brain
Blog

European recovery assured?

We assess the ramifications of the European Union’s €750bn deal for EU bond markets and the euro.

21 July 2020 Paul Brain
US dollar: devalue to save the world?
Blog

US dollar: devalue to save the world?

We assess how US-dollar strength will affect the global economy as it starts to recover from the pandemic.

22 May 2020 Paul Brain
Blog

Looking through the pandemic: The shape of the recovery

We assess some potential consequences of the pandemic, and how they may play out in the global economy.

11 May 2020 Paul Brain, Howard Cunningham
Blog

Covid-19: The US goes big

We assess the potential impact of an unprecedented US fiscal stimulus package on markets.

26 March 2020 Brendan Mulhern
Covid-19: Looking through the crisis
Blog

Covid-19: Looking through the crisis

We analyse the impact of Covid-19 on global bond markets in anticipation of the next stage.

19 March 2020 Paul Brain
Blog

Coronavirus: Back from the brink?

Coronavirus-induced volatility continues to plague markets, but are there some tentative early signs of recovery?

09 March 2020 Brendan Mulhern
Going viral
Blog

Going viral

How does the spread of coronavirus affect the global investment outlook?

07 February 2020 Brendan Mulhern
A gilt-edged pledge?
Blog

A gilt-edged pledge?

How the spending pledges from the two main political parties could affect the UK gilts market.

12 December 2019 Howard Cunningham
QE 4 to the rescue? Not quite…
Blog

QE 4 to the rescue? Not quite…

Does recent US Federal Reserve activity hint at what lies ahead for US monetary policy?

09 December 2019 Brendan Mulhern
Blog

Megacities – where themes collide

Our dynamic thematic framework helps identify structural growth opportunities created by rapid urbanisation.

21 November 2019 Newton global research team
Blog

Two become one

What could Boris Johnson’s victory mean for the UK’s gilt and currency markets, and future Brexit strategy?

23 July 2019 Howard Cunningham
Blog

Perspective on the pivot

With financial markets threatening to bounce the Fed into a fresh easing cycle, we give our perspective.

17 July 2019 Newton Real Return team
Blog

Population prospects

Major demographic shifts will have pronounced implications for economies and investors.

12 June 2019 Newton global research team
Blog

Trade trouble

As tariffs are hiked again, where does the US-China trade war go from here?

29 May 2019 Trevor Holder
Blog

The rise and rise of ‘MMT’ economics

Modern Monetary Theory is gaining traction among policymakers, but what are the possible consequences for investors and markets?

28 May 2019 Brendan Mulhern
Blog

What now for Spain?

Political uncertainty could create short-term instability for Spanish bond spreads, but will it last?

01 May 2019 Paul Brain
Populist push
Blog

Populist push

A new ‘post-globalisation’ era may have major implications for investors.

25 March 2019 Andy Warwick
Blog

Inflation: the rise and fall

With consumer price inflation remaining subdued despite extreme monetary policies, should investors still worry about inflation risk?

22 March 2019 Newton Real Return team
Blog

Groundhog May

Amid another tumultuous week, the outcome of the UK’s Brexit negotiations look even murkier.

14 March 2019 Howard Cunningham
Blog

Carry on Leo

The Irish and UK prime ministers are experiencing contrasting fortunes as Brexit negotiations rumble on.

11 March 2019 Howard Cunningham
Blog

Tick tock

As the bond-market cycle clock ticks on, we offer our outlook for 2019.

11 February 2019 Paul Brain
Blog

A year of two halves?

With a decade of financial excess now behind us, the risks appear skewed to the downside.

05 February 2019 Brendan Mulhern
Blog

You can’t always get (the Brexit) you want…

Theresa May’s crushing Brexit deal defeat appears relatively meaningless compared to what might happen next.

16 January 2019 Howard Cunningham
Blog

Downward momentum

Trade confrontations may dominate the headlines, but deeper structural concerns are driving market movements.

10 December 2018 Brendan Mulhern
Blog

US decoupling: can it last?

Can the US equity market continue its stellar performance into 2019?

25 September 2018 Brendan Mulhern
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This is a financial promotion. Issued by Newton Investment Management Limited, The Bank of New York Mellon Centre, 160 Queen Victoria Street, London, EC4V 4LA. Registered in England No. 01371973. Newton Investment Management is authorised and regulated by the Financial Conduct Authority, 12 Endeavour Square, London, E20 1JN and is a subsidiary of The Bank of New York Mellon Corporation. Material in this publication is for general information only. The opinions expressed in this document are those of Newton and should not be construed as investment advice or recommendations for any purchase or sale of any specific security or commodity. Certain information contained herein is based on outside sources believed to be reliable, but its accuracy is not guaranteed. You should consult your advisor to determine whether any particular investment strategy is appropriate. This material is for institutional investors only. Past performance is not a guide to future performance. Your capital may be at risk. The value of investments and the income from them can fall as well as rise and investors may not get back the original amount invested.