London Market Monitor – 31 August 2022
Our August review of the markets and Solvency II discount rates.
In this market recap, we discuss the performance of the major equity indexes over the first quarter, and include commentary on major macroeconomic indicators such as inflation and unemployment. We also break down the performance of equities by style box for the United States, non-U.S., and U.S. fixed income. We end with our overall outlook for the world markets.