Earnings season winners and losers, bond market struggles, and how man stacks up against machine when picking investments episode artwork

EPISODE · Jul 28, 2022 · 40 MIN

Earnings season winners and losers, bond market struggles, and how man stacks up against machine when picking investments

from AJ Bell Money & Markets · host AJ Bell

On this week’s Money and Markets podcast, Laura Suter and Danni Hewson discuss earnings season as it kicks into high gear. They sift through winners including McDonalds, Coca Cola and Unilever, and losers including Walmart – whose profit warning sent a shock through the US and UK retail sector. They also look at upcoming rate rises, which are forming an important backdrop to inflation-wary company outlooks. Also this week, Ryan Hughes from AJ Bell’s investment team takes a look at why bond markets haven’t been performing well. Bonds aren’t necessarily the sexiest corner of investing – but with predictions of a potential recession mounting, and markets becoming more volatile, people might be seeking more safe-haven assets.  Elsewhere, Laith Khalaf, our head of investment analysis, digs into an age-old question. During tricky market times is it better to invest with a human fund manager who makes stock picks for you, or a tracker that rides the market’s ups and downs? Finally, Dan Coatsworth meets up with Jeremy Rogers from the Schroder BSC Social Impact Trust, set up two years ago with the goal of helping society and making money for investors. He asks where the trust is deploying its money, and what investors might expect from it in the future.

Episode metadata supplied by the publisher feed · Published Jul 28, 2022

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Earnings season winners and losers, bond market struggles, and how man stacks up against machine when picking investments

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