Q3 2022 Market Review
A market performance and asset class commentary.
Written by Patryk Dyjecinski

IFA and Founder of Clara Wealth

Our Q3 Market review is now available for download. Each quarter we share a market performance and asset class commentary with data provided by Dimensional Fund Advisors. The aim of the Review is to give you a general overview of what has happened in the financial world over the last three months and the impact this may have had on your investments. 

As a Clara Wealth Management client, we would also conduct a regular performance review and an assessment of whether your specific portfolio continues to be suitable to your goals.

The key takeaways for the third quarter were that:

  • Global equities recorded positive returns for the quarter in contrast to UK and emerging markets which were negative.
  • Emerging markets were the worst performing region for equities. 
  • Value stocks underperformed growth stocks in UK and developed markets but outperformed in emerging markets.
  • Small caps outperformed large caps in global and emerging markets but underperformed in the UK.
  • Interest rates increased across all maturities in the UK gilt market and generally across developed markets as well.
  • As most will have noticed, the increase in UK rates was particularly significant.
  • Longer-term bonds generally underperformed shorter-term bonds. 
  • Corporate bonds generally underperformed their government counterparts.
  • Japan remains the last major economy where short term rates remain negative.

You can download your copy via the link below:

Q3 2022 Market Review

Please contact me at Clara Wealth Management at contact@clarawealth.co.uk or on 0207 097 4968 if you want to find out more or have any comments.

Past performance is not a reliable indicator of future performance. The value of investments may go down as well as up and you may get back less than you invest.