MarketWatch sat down with Conall Mac Coille, Robbie Kelleher and Andrew Fisher to hear their views about what an “Out” vote would mean for the UK and Irish economies, and how trade could be impacted between the two nations.
The combination of economic and political uncertainty could trigger further sterling weakness. David Hillery, Investment Strategist, provides an insight into how uncertainty around Brexit could impact the British currency.
2016 has been a rollercoaster ride for investors. After several years of solid gains, equity markets fell during the first few weeks of the year. In this article, David Collins, Investment Strategist, explains how certain strategies can help limit the downside during times of volatility.
Whether you are looking to sell your pharmacy now or further down the line there are many issues to consider.
As is often the case in times of heightened anxiety, investors tend to flock to the relative safety of government bonds and cash which can offer protection in turbulent markets. In this article, David Hillery, Investment Strategist explores some of the more common options available to investors to reduce volatility in their portfolios.
To go active or to go passive? Both investment strategies have their advantages, but they are not without their risks. In this article, Sara MacGrath, Investment Analyst, explores pros and cons of each investment style and attempts to answer one of the most topical debates in the investment industry.
The recent equity market sell-off and heightened volatility has led to increased tension for investors. While the reasons for market sell-offs are always different we know that they will be a constant feature of investing in equities. Falls of more than 10% are actually quite common in global markets. The unpredictable timing of such falls is one of the challenges that investors will continue to face.
Financial markets have been under pressure since the start of the year with several major markets now in bear market territory. In this video Brian O'Reilly, Head of Global Investment Strategy, helps explain what is driving the recent weakness and how Davy is positioning portfolios in this environment.
The oil industry is in a state of flux. The recent collapse in oil prices, in tandem with increases in supply, has led to significant changes within the industry. In this article, Bria Murphy, Equity Analyst, looks at the reasons for the oversupply of oil, OPEC’s unprecedented response to this oversupply, and the likely future of oil prices in this changing landscape.
There’s a delicate balance between paying your child to do work and ensuring your child doesn’t expect to be paid for everything they do.