The latest market news from our partners at Morningstar
What Would the Reunification of Korea Mean for Investors?
Korea split in 1945, shortly after the Second World War, and there has been ongoing tension between the divided nations ever since
Stock Markets Have Rallied, But Risks Remain
The recent global sell-off in equities reflected a range of factors - some one-offs, some ongoing
Market Crash Makes Case for Multi-Asset Investing
A little volatility should not trouble a long-term investor, but investors who are diversified by asset class experienced far milder recent losses
What are the Triggers for Stock Market Volatility?
While it is near impossible to accurately predict stock market movements, there are warning signs investors can look for which could cause increased volatility
Analyst View: Oil Price Outlook
The oil price has doubled since its rock bottom price of $30 a barrel in January 2016. But the run stops here, says Morningstar analyst Mark Taylor
How to Invest in a Volatile Market
Global stock markets have made up the losses of earlier in the week, but investors should prepare for increased volatility in 2018
Russia is 40% Cheaper than Other Emerging Markets
Russia has the potential to significantly outperform other stock markets says Morningstar Investment Management's Cyrique Bourbon
Why Stock Markets React Negatively to Positive News
Is the market reaction more to do with the nervousness around expensive stocks? Or can we expect a change to corporate profitability?
Killik: Market Setback is a Buying Opportunity
Killik & Co's Rachel Winter tells Emma Wall why this week's stock market volatility is a good thing, and how investors can take advantage of the fall
3 Tips for Riding Out the Stock Market Volatility
Morningstar Investment Management's Dan Kemp urges investors to ignore the market noise and focus on their long-term goals