Financial Services

Companies providing banking, savings and loans, asset management, credit services, investment brokerage and insurance. UK‑listed companies in this sector include HSBC Holdings plc, Barclays plc, Lloyds Banking Group plc, Standard Chartered plc, Prudential plc and Schroders plc.

Specialist coach finance deal reveals how Time Finance is targeting transport niches

Time Finance structured a £140k hire-purchase deal to help a transport firm win and deliver a new contract with a top-tier rugby club...

Hedged share classes gain traction among private wealth investors

Hedged share‑class funds aim to let investors subscribe in their local currency while mitigating FX risk...

CMC Markets pursues all‑in makeover under new ‘super‑app’ strategy

CMC Markets is reimagining its future with a phased push into multi‑asset trading, digital finance, and fintech services, signalling a bold shift beyond its CFD roots...

A softer dollar could shift investor attention to emerging markets

As the dollar weakens, emerging markets may be entering a more favourable cycle for investors willing to look globally...

HSBC appoints Brendan Nelson as Group Chair following Board selection process

HSBC has confirmed Brendan Nelson as its new Group Chair after serving in the role on an interim basis since October 2025...

UK markets get a lift as banks benefit from looser capital rules

Regulatory easing and improving macro signals are giving UK equities a reason to reprice...

Fresh signals from Europe as capital repositions

European markets show renewed sector rotation as investors favour banks and respond to stock-specific catalysts like Bayer’s legal breakthrough...

Multi-asset investing is becoming a core strategy for portfolios

Multi-asset investing is moving to the centre of institutional portfolios as investors demand more flexibility and control...

European stocks climb as legal reset reopens a long discounted risk

Legal momentum in the US reframes a long-discounted risk for Bayer, with ripple effects across European indices..

Adjusting exposure ahead of the narrative shift

Arbuthnot Latham is repositioning for what comes after the rally, favouring stability, diversification, and optionality across portfolios...

When the narrative breaks the numbers start to matter

From prison policy to Gen Z spending, two global shifts are breaking old assumptions and reshaping how investors need to think...

CMC Markets Presentation: API-Driven Growth Surges as Westpac Deal Ignites Strategic Shift

CMC Markets has moved beyond its CFD roots. With 2,400% API account growth, a landmark Westpac partnership, and a Super App that bridges TradFi and DeFi, HY26 results reveal a..

Foresight Group reports higher revenue and AUM growth in H1 FY26

Foresight Group posted an 11% rise in revenue to £81.5 million and increased assets under management to £13.7 billion for the six months to 30 September 2025...

Schroders hosts Investor Day highlighting growth plans for Schroders Capital

Schroders is holding an investor day focused on Schroders Capital, outlining its scale in private markets with £72.8 billion in assets under management and plans to reach £100 billion by..

B.P. Marsh announces leadership changes, Brian Marsh becomes Non Executive Chair

B.P. Marsh & Partners has confirmed a leadership transition as founder Brian Marsh moves to Non Executive Chair...

Why more investors are turning to structured products

With traditional bonds falling short, more investors are turning to structured products for targeted exposure and better control over outcomes...

China’s stock market finds renewed footing as investors shift stance

China’s markets seem to be shifting from speculative frenzy toward value‑driven steadiness, offering a potential entry point for patient, long‑term investors...

Asia’s market tone shifts as capital starts to reposition

Capital is beginning to return to Asian markets as interest rate expectations shift and currencies firm...

Impax Asset Management reports lower AUM and revenues in FY25

Impax Asset Management has released final audited results for the year to 30 September 2025, reporting AUM of £26.1 billion after a period marked by outflows and weaker market conditions..

Cavendish Plc: Steady performance amid market headwinds (LON:CAV)

Jason Streets of Hardman & Co discussed the company’s interim results, noting steady revenues, cost savings from the 2023 merger of finnCap and Cenkos, and a strong cash position...
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Financial Services

Specialist coach finance deal reveals how Time Finance is targeting transport niches

Time Finance structured a £140k hire-purchase deal to help a transport firm win and deliver a new contract with a top-tier rugby club...

Hedged share classes gain traction among private wealth investors

Hedged share‑class funds aim to let investors subscribe in their local currency while mitigating FX risk...

CMC Markets pursues all‑in makeover under new ‘super‑app’ strategy

CMC Markets is reimagining its future with a phased push into multi‑asset trading, digital finance, and fintech services, signalling a bold shift beyond its CFD roots...

A softer dollar could shift investor attention to emerging markets

As the dollar weakens, emerging markets may be entering a more favourable cycle for investors willing to look globally...

HSBC appoints Brendan Nelson as Group Chair following Board selection process

HSBC has confirmed Brendan Nelson as its new Group Chair after serving in the role on an interim basis since October 2025...

UK markets get a lift as banks benefit from looser capital rules

Regulatory easing and improving macro signals are giving UK equities a reason to reprice...

Fresh signals from Europe as capital repositions

European markets show renewed sector rotation as investors favour banks and respond to stock-specific catalysts like Bayer’s legal breakthrough...

Multi-asset investing is becoming a core strategy for portfolios

Multi-asset investing is moving to the centre of institutional portfolios as investors demand more flexibility and control...

European stocks climb as legal reset reopens a long discounted risk

Legal momentum in the US reframes a long-discounted risk for Bayer, with ripple effects across European indices..

Adjusting exposure ahead of the narrative shift

Arbuthnot Latham is repositioning for what comes after the rally, favouring stability, diversification, and optionality across portfolios...

When the narrative breaks the numbers start to matter

From prison policy to Gen Z spending, two global shifts are breaking old assumptions and reshaping how investors need to think...

CMC Markets Presentation: API-Driven Growth Surges as Westpac Deal Ignites Strategic Shift

CMC Markets has moved beyond its CFD roots. With 2,400% API account growth, a landmark Westpac partnership, and a Super App that bridges TradFi and DeFi, HY26 results reveal a company building financial infrastructure for the next decade...

Foresight Group reports higher revenue and AUM growth in H1 FY26

Foresight Group posted an 11% rise in revenue to £81.5 million and increased assets under management to £13.7 billion for the six months to 30 September 2025...

Schroders hosts Investor Day highlighting growth plans for Schroders Capital

Schroders is holding an investor day focused on Schroders Capital, outlining its scale in private markets with £72.8 billion in assets under management and plans to reach £100 billion by 2027...

B.P. Marsh announces leadership changes, Brian Marsh becomes Non Executive Chair

B.P. Marsh & Partners has confirmed a leadership transition as founder Brian Marsh moves to Non Executive Chair...

Why more investors are turning to structured products

With traditional bonds falling short, more investors are turning to structured products for targeted exposure and better control over outcomes...

China’s stock market finds renewed footing as investors shift stance

China’s markets seem to be shifting from speculative frenzy toward value‑driven steadiness, offering a potential entry point for patient, long‑term investors...

Asia’s market tone shifts as capital starts to reposition

Capital is beginning to return to Asian markets as interest rate expectations shift and currencies firm...

Impax Asset Management reports lower AUM and revenues in FY25

Impax Asset Management has released final audited results for the year to 30 September 2025, reporting AUM of £26.1 billion after a period marked by outflows and weaker market conditions for active managers...

Cavendish Plc: Steady performance amid market headwinds (LON:CAV)

Jason Streets of Hardman & Co discussed the company’s interim results, noting steady revenues, cost savings from the 2023 merger of finnCap and Cenkos, and a strong cash position...
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Financial Services

FTSE 100

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