Guinness Global Investors @GuinnessGI
Independent specialists in high-conviction, long-only fund management. Make sure to follow us on LinkedIn: https://t.co/rbudtQiEiG guinnessgi.com/?utm_source=li… 18 Smith Square, London Joined February 2012-
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2022 taught investors a hard lesson: when inflation spikes, equities and bonds can fall together. Craig Veysey explains the inflation threshold where bond diversification breaks down, and 3 things investors need to get right. Watch below or click here for more information: guinnessgi.com/funds/guinness… This is a marketing communication. Capital at risk.
Bond markets have repriced, but navigating them is even more complex. Flexible and benchmark-unconstrained, the new Guinness Global Dynamic Bond Fund is built for exactly this. Find out more about our new fund here: guinnessgi.com/funds/guinness… This is a marketing communication. Capital at risk.
In @FETrustnet, Will James explains how he looks for returns to come from strong and persistent cashflow being reinvested in companies’ future growth as well as paying sustainable dividends – and this is why defence stocks, despite good recent performance, haven’t featured in the Guinness European Equity Income Fund. Read the full article here: trustnet.com/news/13475485/… #marketingcommunication #capitalatrisk
Real assets (including infrastructure and real estate) have proven their worth since the start of the Iran War - but what about the future? The events of 2022 could be a guide. While the current turmoil and energy disruption are different to Russia’s invasion of Ukraine and the emergence from Covid, the sector's performance during that sharp inflation spike is nonetheless an interesting comparator. The biggest rise in inflation came in 2022, and over that year, the MSCI World Core Infrastructure Index meaningfully outperformed the MSCI World Index, as shown in the re-based chart below. If we see inflation begin to rise significantly again, the sector could offer relative safety amid wider equity markets, as it has done so far in 2026. Read the full insight here: lnkd.in/eKkJi9Ud #marketingcommunication #capitalatrisk
It takes around a month for Gulf oil exports to reach their ultimate destinations, so oil-consuming countries will be starting to use inventories. Ultimately, demand will need to be destroyed (via higher prices) for the market to balance the physical loss of around 10m b/day, and this is starting to happen. Following last week’s steady rise, Brent is now at $115/bl, approaching our rough demand-destruction level of $120/bl and above (although there are many factors in play). Energy equities have benefited from higher near-term profitability and higher long-term oil prices, but current valuations still appear far from overheated. Learn more about the Guinness Global Energy Fund here: guinnessgi.com/funds/guinness… #marketingcommunication #capitalatrisk
Gilts and energy shocks: an unhappy relationship The gilt market has once again been reminded of something it knows well: when energy prices surge, UK bonds can reprice aggressively. Read our latest insight to learn what it means for gilts, and where value may now be emerging. guinnessgi.com/insights/gilts… #marketingcommunication #capitalatrisk
Proud to support our partner @SinfoniaSmithSq's Easter Festival, featuring Bach’s St John Passion and a series of choral performances celebrating the season. Discover the full festival programme here: sinfoniasmithsq.org.uk/whats-on/
Our European Equity Income Fund was featured in Rankia Pro, with Will James sharing views on opportunities in European equities and the long-term case for high-quality businesses. Read the full article here: rankiapro.com/en/insights/ra… This is a marketing communication. Capital at risk.
Electricity demand is now growing faster than GDP, driven by data centres and electrification, in a new structural investment theme. Read our latest Sustainable Energy commentary for insights into the International Energy Agency’s latest data: guinnessgi.com/commentaries/s… This is a marketing communication. Capital at risk.
Globally, only ~10% of plastic is recycled. Read our insight on our engagement with Consumer Staples companies on the transition to circularity. This is a marketing communication. Capital at risk.
How do you stay updated on market trends? We’ve launched a WhatsApp channel with weekly market insights. Visit our website to sign up. Marketing communication. Capital at risk.
Is the market underestimating how much Asia’s growth model has changed? AI, manufacturing and semiconductors are reshaping leadership. Watch the video below to find out why. Marketing communication. Capital at risk.
2025 told two very different stories. 2026 may be even more interesting. As easing rates reshape the backdrop, infrastructure and real estate are seeing improving fundamentals and more attractive income opportunities. Watch our 2026 outlook for Real Assets below. This is a marketing communication. Capital at risk.
When markets tighten, quality matters. As attention shifts towards 2026, high-quality equity income is back in focus, as highlighted by @ii_couk. Our Global Equity Income Fund prioritises strong cash generation and disciplined management. This is a marketing communication. Capital at risk.
Sustainable energy had a strong 2025. The outlook for 2026 could be even bigger. Clearer policy, easing rates and rising power demand are lifting the sector. Watch the video below to see why electrification, AI and grid investment are central to the next phase. This is a marketing communication. Capital at risk.
As 2026 begins, UK and European markets are sending a clear signal. The FTSE 100 has broken new ground, defence stocks are rebounding, and geopolitics are reshaping returns. Our European Equity Income PM Will James shared his outlook with @InvestmentWeek . This is a marketing communication. Capital at risk.
We’re pleased to share that our Asian Equity Income Fund has received a rating from Rayner Spencer Mills Research (@RSMRposts). A great endorsement of the team’s disciplined approach and focus on quality income across Asian equity markets. This is a marketing communication. Capital at risk.
With 2026 just days away, our portfolio managers will soon be sharing their outlooks for the year ahead. Insights from our Global, Energy, Asia, Europe and Real Assets teams will be released shortly, in both video and written formats. Stay tuned to ensure you don’t miss these updates - click here to keep informed: guinnessgi.com/commentaries #marketingcommunication #updates #2026 #outlook
As markets look ahead to 2026, opportunities are emerging beyond US mega-cap technology. Our portfolio manager Ian Mortimer, co-manager of our Guinness Global Equity Income, notes in @_moneymarketing 's latest article that quality sectors such as consumer staples and healthcare have lagged despite strong fundamentals and attractive dividend profiles. “Consumer staples are trading at discounts to where they’ve been historically and yet the businesses are doing very well, and paying high dividends from strong earnings. It’s a similar picture for the healthcare sector. There are good opportunities out there, away from these big technology names.” With dividends remaining robust, income-focused investors may find compelling value in areas that have been overlooked. Read the full article here: Darius McDermott: moneymarketing.co.uk/opinion/darius… #marketingcommunication #dividends #investing #capitalatrisk
Why do real assets matter in volatile markets? Their inflation-linked cash flows and resilience have stood out during 2025’s uncertainty. Watch our latest video to find out more. This is a marketing communication. Capital at risk.
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