Over the summer months, we had seen a strong, and record-breaking, recovery in global stock markets – since late August we have, however, seen somewhat of a reversal.
In our latest monthly market review, Kevin Quinn, Chief Investment Strategist with Investment Markets, identifies the five stand-out reasons for this rebound. He also explains why markets are likely to remain in a highly uncertain period over the coming months and why investors should not make any rash moves.
To find out more, click here.