Weekly Update 16 January 2023
A year rarely starts as well as 2023 has done.
Weekly Update 16 January 2023 Read More »
A year rarely starts as well as 2023 has done.
Weekly Update 16 January 2023 Read More »
2022 was a strong year for our strategy.
Weekly Update 2 January 2023 Read More »
Despite current economic resilience, investors remain pessimistic about next year. Could this be wrong?
Weekly Update 19 December 2022 Read More »
In 2022, part of the bubble in Growth stocks deflated as Value stocks beat Growth stocks by 20 percentage points.
Weekly Update 12 December 2022 Read More »
If the economy holds up, we see 50%+ upside for many of the positions in our portfolio.
Weekly Update 5 December 2022 Read More »
European equities are under-owned at the moment; cyclical European companies should outperform.
Weekly Update 28 November 2022 Read More »
The S&P 500 index may fall to the low 3000s next year, possibly as early as Q1.
Weekly Update 21 November 2022 Read More »
European banks are still cheap.
Weekly Update 14 November 2022 Read More »
The portfolio is now 75% in cash.
Weekly Update 7 November 2022 Read More »
We see a lost decade ahead for stocks.
Weekly Update 31 October 2022 Read More »