For UK investors, the volatility in the sterling/dollar exchange rate is a major concern. With this in mind, Ceri Jones has hedged the S&P 500 dollar exposure.
The blue chip index is currently on a price to earnings (p/e) ratio of 12.5 times with a dividend yield of 4.7%.
Brexit uncertainty has hit the traditional spring property bounce, knocking thousands off house prices across the UK, analysis shows.
Over a third of do-it-yourself (DIY) investors favour a no-deal Brexit, according to a poll conducted by The Share Centre.
We round-up the main points and highlights from chancellor Philip Hammond's Spring Statement.
The government has proposed a new temporary tariff regime, designed to reduce the risk of economic damage, should the UK leave the EU without a deal.
There’s plenty of investor money sitting on the sidelines, but the message from various investment commentators is to ‘keep calm and carry on’.
Chancellor Philip Hammond will deliver his second Spring Statement this week. What can we expect?
We take a look at three key areas fund managers are focusing their sights on, as they seek out bargains amid all the Brexit uncertainty.