Market Latest
The End of Globalisation? Not for Investors
Do national lockdowns and bans on overseas travel mean the end of globalisation? Not for investment portfolios
Coronavirus - Impact on Markets
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5 Reasons the Office Can Make a Comeback
Australia's return to the office could provide some parallels for how the UK fares this year as workers re-embrace the daily grind, and what it means for investors
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Covid Crash the Shortest in History
The year may have been unprecedented, but the best course for navigating a market dip stayed the same
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A Year Since Lockdown: What We've Learned
VIDEO: A year since the UK first went into lockdown, Morningstar Investment Management's Mike Coop looks at some of the lessons learned by investors
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12 Shocks from 12 Months of Lockdown
It's been a unique year for investors. From negative oil prices to GameStop, we refresh your memory of the standout events of the past 12 months
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The Covid Crash: One Year On
Morningstar's Susan Dziubinski talks to Christine Benz about the massive sell-off seen in the first quarter of 2020 and lessons investors can learn
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China and Covid: One Year On
On January 23, 2020 China made the unprecedented move to put Wuhan province in lockdown. But beyond Covid-19, what changed for China last year? We look at the story in five charts
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The Social Impact of Covid-19 on Investments and Businesses
The pandemic has amplified systemic injustices but has also created greater awareness among investors and companies around the importance of the "S" in ESG
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Should You Invest in the Vaccine Makers?
Demand for Covid-19 vaccines has seen interest in pharma stocks soar, but Morningstar analysts think this is a temporary trend
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History’s Lessons for the Post-Pandemic World
How habits, fear, and sunk costs can reshape economic behaviour. We turn to the past to see what the future might look like
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Best and Worst Performing Funds of 2020
Tech and China funds were heavily represented in the top performing funds, while UK funds languished at the bottom of the pile
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Best and Worst Investment Trusts of 2020
We look at the best and worst performing investment trusts with a Morningstar Analyst Rating after an unprecedented year
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Covid Vaccine Breakthrough: the Morningstar View
Morningstar analyst Damien Conover looks in detail at the latest vaccine developments from AstraZeneca and Pfizer/BioNTech
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Sick of Uncertainty? Read This
How to keep your (investment) cool when the future remains unclear
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Has Covid Affected Correlation?
In a globalised world, many stock markets move in sync. Is that still true in the Covid-19 pandemic?
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Does Gold Still Diversify?
Gold is used by many investors to diversify their portfolio and protect in a sell-off. But does that theory still hold true?
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The World After Covid-19: Remote Working
What does the global working from home experiment mean for the long-term? Morningstar analysts look at the impact on economies, real estate and the oil price
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What Next in the Hunt for a Covid-19 Vaccine?
Resurgences in outbreaks make it clear that ending the pandemic requires more than testing, contact tracing, and social distancing, says Morningstar's Karen Anderson
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What a Covid-19 Vaccine Means for Investors
Three new vaccines for coronavirus look poised for emergency use authorisation in the US this autumn. What does that mean for investors?
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Don't Expect a Repeat of the 2008 Financial Crisis
Despite the impact of the Covid-19 crisis, the risks today are far smaller than a decade ago, write Morningstar equity analysts Eric Compton and Preston Caldwell
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Beware the Hype as Gold Hits New Record
The precious metal is often touted as a safe haven and hedge against inflation, but how has it really performed over the long-term? Morningstar analyst Amy Arnott investigates
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The Managers Betting on the Big Travel Bounce Back
Airline and cruise stocks have suffered heavy losses this year, but these fund managers expect the travel industry to bounce back before long
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ETFs Back in Favour After Market Crash
Exchange traded fund assets are on course to reach €1 trillion in 2020, as investors return to passive funds after Covid-19 sell-off
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Chancellor Slashes Stamp Duty and VAT
Measures to boost the housing market and hospitality sector are just some of the measures announced to revitalise UK economy
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Why You Need a Protection Policy
A protection policy can be a vital financial lifeline in difficult times. But do you need income protection, critical illness cover or life insurance? We look at the differences
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4 Stocks for Unlocking Lockdown
As countries across the globe start to come out of lockdown and see social distancing rules relax, these four companies could thrive
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Second Wave Fears Keep Investors Cautious
Investors piled back into money market funds and fixed income options in May, Morningstar data reveals, amid persistent fears of a second wave of Covid-19 infections
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How to Boost Your Pension
While many people's finances are currently under severe pressure, pension providers want those who are saving more for retirement to keep the habit going
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Was the Crash a Black Swan?
The Covid-19 crisis has been called a Black Swan event, but just how rare is such a sell-off? Analysis shows market crashes come more regularly than you might think
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How Funds Performed in May
All asset classes produced positive returns in May but there is still a lot of ground for some funds to make up after March's brutal sell-off
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Where are European Managers Investing?
Investors in Europe have had myriad challenges to grapple with in recent years. We ask fund managers where they are investing in this latest bout of volatility
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What do Negative Gilt Yields Mean for Investors?
VIDEO: As UK Government Gilt yields move into negative territory, Morningstar analyst Louise Babin explains what it means for investors and for the UK outlook
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Investors Turn Risk-On in April
With stock markets recovering, investors are feeling bullish. After record outflows in March, investors poured almost £5 billion into funds in April
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2010 vs 2020: How Investing Has Changed
A look at the 10 biggest companies today and a decade ago reveals a lot about how investors are thinking
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Investors in Uncharted Territory, says Train
Manager of Finsbury Growth & Income says this has been the toughest six months of his career
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Stocks for a Cash-Free Future
Shoppers are shunning cash over fears it could transmit coronavirus, and this will benefit many companies involved in electronic payments
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Merian Manager: "Why I'm Bullish on Gold"
VIDEO: As investors look for safety, Ned Naylor-Leyland, manager of the Merian Gold & Silver fund, is optimistic on the outlook for precious metals
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3 Lessons from the Covid Crisis
VIDEO: JPMorgan's chief market strategist Karen Ward is looking for quality stocks and diversification as the market turmoil continues
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Stocks for a Hygiene Boom
VIDEO: Killik & Co's Rachel Winter is looking for companies benefiting from increased hand-washing and cleanliness
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Have Consumer Habits Changed Forever?
We've all been shopping and working differently since lockdown and the effect on consumer behaviour and companies has been profound - but will it be permanent?
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5 Stocks For Social Distancing
Businesses that can continue to operate through lockdown measures have thrived in recent weeks. We round up some of the most highly-rated stocks
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4 Ways Investing Will Change
From where to look for income to the future of IPOs, we spoke to three fund managers about ways the coronavirus might change investing for good
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Do Balanced Portfolios Outperform?
A so-called 60:40 portfolio has gained legendary status for consistent performance. How has it held up in the most recent downturn?
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Shell's First Dividend Cut Since WW2
First dividend cut since 1945 sees payout slashed 66%, but experts believe the move is a sensible one in the light of the plunge in oil prices
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Did Cash-Heavy Funds Outperform?
Cash drag can be a problem for some funds, but did having a higher allocation to cash provide protection in the sell-off?
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From Hero to Zero: Funds That Have Fallen
While some funds have fought their way up the rankings in the recent stockmarket turmoil, others have fallen from the top spot
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Oil Goes Negative. Time to Buy?
Oil prices have turned negative for the first time in history. But there's more to investing in this commodity than the spot price, warns Morningstar analyst Kenneth Lamont
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Did Absolute Return Funds Deliver?
Absolute returns are designed to deliver whatever the weather. We look at how well they held up in the sell-off
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March 2020: The Worst Month Since...
March 2020 was undoubtedly a painful month for investors. But how does it compare if we look back over the past five decades?
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Record Outflows from ETFs in Market Panic
As global stock markets plunged in March and panicked investors, European exchange-traded funds haemorrhaged billions in assets
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Gold-Rated Funds Outperform
Most of Morningstar's highest rated funds have beaten their peers in the first quarter of 2020 in the face of extreme stock market volatility
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Is China Leading the Global Recovery?
China-focused fund managers are seeing green shoots of recovery in some sectors as people attempt to return to normal life after the coronavirus outbreak
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Best and Worst Performing Funds in March
Japanese funds and global bonds managed to post positive returns in the market sell-off, while UK equity funds suffered as the FTSE 100 fell
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ESG Equity Funds in the Sell-Off
The first quarter of 2020 is the first time that many sustainable funds have been tested in a bear market. We look at how they held up compared to their peers
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Should You Bother with Bonds?
Morningstar's Dan Kemp explains which areas of fixed income have held up well in recent sell-off, and why some have disappointed
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How Healthcare Funds Performed in the Covid-19 Crisis
Healthcare stocks are in the spotlight as the world races for a coronavirus cure. But how have the funds that invest in the sector performed?
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How to Invest in a Crisis: Think Closer to Home
Editor's Views: As people's daily lives are turned upside down, this may be a good time to buy shares in companies whose products you can't do without
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10 Undervalued US Stocks
Amid the volatile stock market moves, Morningstar analysts say there are more buying opportunities than stocks to sell for brave investors willing to look to the long-term
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Can Luxury Stocks Recover?
VIDEO: With many consumers housebound and travel plans on hiatus, Morningstar's Jelena Sokolova discusses the outlook for the luxury goods sector
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Why You Can't Time the Market
VIDEO: Why it's important to stay invested to capture critical months, with Morningstar's director of investment research, Ian Tam
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How to Spot Vulnerable Dividends
Shell and Persimmon are the latest companies to announce changes to their dividend policy in response to the crisis, with income investors braced for more bad news
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How to Invest in a Recession
Most experts are forecasting a recession after the coronavirus outbreak, but could the new era provide opportunities to investors?
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“I Switched into Cash Before the Covid-19 Crisis”
Investor Views: A cautious approach has helped protect some of Sarah Roberts's savings from recent stockmarket spirals
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3 ETFs to Survive Volatile Markets
In these uncertain times, strategic beta ETFs can allow investors to trim risk while maintaining exposure to a market rebound
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How the Most Popular Funds Have Performed in the Sell-Off
The most popular funds are often those which have performed well in the past, but how have these top-sellers held up in the sell-off?
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3 Lessons on Stock Market Volatility in Charts
History shows us that bull markets last longer than bear markets, and why you shouldn't try to time the market
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How Long do Funds Take to Bounce Back?
As stock markets fall, investors should resist the urge to panic. Analysis of performance after the financial crisis shows how funds bounce back
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When Will Stock Markets Recover?
Morningstar columnist John Rekenthaler looks at the lessons from two previous crashes, in 1987 and 2008, and finds that bear markets go through predictable stages
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Why Fund Investors Shouldn't Panic
Morningstar Investment Management's Dan Kemp has some advice for investors caught up in the market panic
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In a Market Crash, Ignorance is Bliss
Editor's Views: Financial advisers don't have to tell clients when their investments have soared, so why must they do it when they've tanked?
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Cars, Casinos and Comfort Food - the Impact
Morningstar analysts looks at how various sectors could be hit by the impact of coronavirus, including opportunities in fast food chains, automotives and casinos
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3 Funds to Hold for the Long-Term
Investors must take the rough with the smooth, says Morningstar's Jon Miller. Here are three funds to see you through the long-term
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Bank of England Cuts Rates and Expands QE
Second rate cut in a week takes interest rates to a record low of 0.1% and comes as governments across the globe step up their response to the coronavirus crisis
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How to Spot a Buying Opportunity in a Bear Market
When stock markets plunge, company share prices look cheap but not everything is a buying opportunity, says Morningstar's Alex Morozov
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The Harder Funds Fall, the Bigger the Bounce?
The 2008 financial crisis saw some of the greatest fund losses on record, but 2009 delivered staggering returns, showing that investors who bail out in times of crisis miss out on big gains
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3 ETFs That Can Protect in a Downturn
Investing in a tracker may not appeal while global markets are in turmoil, but some ETFs should not be overlooked
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Which Regions Have Been Hit Hardest in the Coronavirus Sell-Off?
As global stock markets spiral, we look at the best and worst performing regions of the year to date
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Can Circuit Breakers Calm a Market Panic?
Stock exchange circuit breakers, which have been triggered a number of times recently, are meant to bring a brief "time out" so that markets and traders can pause for breath
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5 UK Stocks With a 5-Star Rating
After this month's brutal sell-off, some blue-chip companies are trading significantly below their Morningstar fair values
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Was This Market Correction Inevitable?
Morningstar's Lex Hall talks to director of equity research Johannes Faul about the stock market collapse and what coronavirus means for the global economy
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Budget 2020: The Morningstar Reaction
VIDEO: Morningstar's Mike Coop assesses Rishi Sunak's first Budget as Chancellor, including a £30 billion spending package to tackle the impact of coronavirus
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"I've Lost £50,000 in Two Weeks"
Private investor Graham Smith is worried about his health and wealth as a result of the coronavirus
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Stock Markets Price in Doomsday Scenario for Oil
VIDEO: Morningstar analyst Allen Good argues that the oil majors can defend their dividends despite the slump, but oil prices can still fall further in the short term
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Coronavirus Could Force Smaller Companies to the Brink
Coronavirus disruption will hasten demise of indebted companies and threaten dividends too
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3 Tips for Worried Investors
Morningstar's Ian Tam on why this period of market turbulence is a good time for investors to reflect on their strategies
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Now is the Time for Active Managers to Shine
Many investors will not have experienced a bear market before so panic is understandable - but the evidence suggests that active funds can recover faster than the index
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This Bear Market Feels Worse ... But We Will Get Through It
Morningstar columnist Rodney Hobson offers some lessons from history on the coronavirus panic and the new bear market in UK stocks
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How Should Investors React to the BoE Rate Cut?
VIDEO: After significant stock market falls and an emergency rate cut by the Bank of England, Morningstar's Dan Kemp says investors should be looking for bargains
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Chancellor Spends Big in Budget 2020
Pensions tax relief is being left alone and the Junior Isa is being doubled to £9,000 for next year - otherwise the Budget aimed to throw money at the coronavirus crisis
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Bank of England Slashes Interest Rates
Bank says the interest rate cut from 0.75% to 0.25% is to help UK businesses and households manage through an "economic shock that could prove sharp and large"
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Will Coronavirus Trigger a Global Recession?
Morningstar healthcare analyst Karen Anderson looks at the likely impact of coronavirus on the global economy - and says the long-term affects may not be as bad as expected
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Oil Plummets - the Morningstar View
What does the latest plunge in oil prices mean for the energy market, and the valuation of the companies within it?