Three scenarios for the post-tariffs world
In the absence of a crystal ball, valuation is key for balancing between risk and reward

In the absence of a crystal ball, valuation is key for balancing between risk and reward
This debt-seeking vehicle treads where others daren’t
Questor strategy special: keep current events in perspective – market turbulence is nothing new
Plus, this country is about to own swathes of Covent Garden
Corpay has developed an unbreachable moat thanks to its bespoke network
Clear competitive advantage means it is well-placed to further outperform the FTSE 100
UK companies have been oversold on depressed sentiment
With growth to come in defence, air travel and net zero, this company’s shares are set for higher climbs
Plus, pride comes before a fall as a recent purchase loses 20pc overnight
With 4,000 companies barely researched, there are huge returns for the dedicated investor
Inflation is less of a concern than ever for this airline as holidays shift from luxury to staple
Plus, takeovers and spin-offs highlight the risks and rewards of Anglo American
The firm remains a vital AI player but it’s a little quieter than its Deep Blue days
Rising military spending is set to boost the company’s shareholder payouts over the long run
The private equity vehicle is home to one of the most generous capital return schemes
Volatility is guaranteed, but this firm has earned its price premium
With BP under the spotlight, investors should know what comes next