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Welcome to The Two Johns, the investment trust podcast brought to you by the website www.johnbaronportfolios.co.uk. Each month, John Baron joins former Investors' Chronicle editor John Hughman to discuss the big themes dominating the investment landscape and the important issues affecting the sector, while explaining how these are influencing the way the website's ten live investment trust portfolios are being managed.
In episode 18, they examine the evolving investment case for the technology sector as markets shift from growth-led momentum to a more value-focused environment. The discussion explores why recent valuation changes may have created new opportunities in technology, particularly among smaller specialist firms, while raising questions over the long-term strategies of some of the large-cap technology companies. They also consider the role of active portfolio management, global technology exposure, and defensive positioning through commodities and energy, alongside the broader implications of inflation, geopolitical tensions, and energy security for investors navigating an uncertain economic landscape.
By John HughmanWelcome to The Two Johns, the investment trust podcast brought to you by the website www.johnbaronportfolios.co.uk. Each month, John Baron joins former Investors' Chronicle editor John Hughman to discuss the big themes dominating the investment landscape and the important issues affecting the sector, while explaining how these are influencing the way the website's ten live investment trust portfolios are being managed.
In episode 18, they examine the evolving investment case for the technology sector as markets shift from growth-led momentum to a more value-focused environment. The discussion explores why recent valuation changes may have created new opportunities in technology, particularly among smaller specialist firms, while raising questions over the long-term strategies of some of the large-cap technology companies. They also consider the role of active portfolio management, global technology exposure, and defensive positioning through commodities and energy, alongside the broader implications of inflation, geopolitical tensions, and energy security for investors navigating an uncertain economic landscape.