London Market Monitor – 30 April 2021
19 May 2021
This report recaps the state of the United Kingdom and global markets at the end of April. The update includes graphs, tables and commentary on the equity, bond, and currency markets both domestically and globally. There’s also information on Solvency II discount rates for the pound and euro, fundamental spreads for financial and non-financial, and an update on inflation. The report also includes a glance at trends in of volatility and hedging costs.
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