Investing during volatility, property & Vodafone : Companies and Markets Show

May 15
33 mins

View Transcript

Episode Description


This week’s show kicks off with a look at FTSE 100 Reit Land Securities, which reported full-year figures. It is still shifting away from offices in favour of shopping centres and residential developments, but with gilt yields spiking again this week, will it remain a victim of circumstances beyond its control? Hugh Moorhead dives into the details. More updates on that here


Discussion then turns to Vodafone its annual results were met with a mixed reaction, but its turnaround plan has found favour over the past year and continues at pace. Alex Newman and Dan Jones discuss whether doubling down on the UK and Africa makes sense. More on Vodafone here


To conclude, we delve into our Big Read , which, in the face of current geopolitical uncertainty, outlines five portfolios for five possible futures. Julian Hofmann explains why investors should consider scenario planning rather than predictions, and outlines what some of these different eventualities will mean for a range of investments.



Read more here:

Landsec struggles to convince on new strategy

Vodafone moves forward with greater clarity

Five ways to invest during turbulent times


Time stamps

00:00 Intro

01:08 Land Securities

09:41 Vodafone

21:29 How to shield your portfolio


Listen to more podcasts from Investors’ Chronicle on Apple, Spotify and YouTube




Investors' Chronicle has supported private investors in the UK for over 160 years by highlighting rewarding investment opportunities.


Investors' Chronicle is a service by the Financial Times.

Hosted on Acast. See acast.com/privacy for more information.

See all episodes