European Markets with Peter Schaffrik: October 2022

By Peter Schaffrik
Published October 13, 2022 | 5 min watch

With market turbulence continuing to impact the UK economy, Peter looks at how the UK reached this point, the Bank of England’s response and the results of those interventions so far. He also discusses what rising gilt yields and changes to fiscal policy could mean on government spending and BoE policy.

Peter Schaffrik

Peter Schaffrik
Chief European Macro Strategist, RBC Capital Markets


Bank of EnglandEconomicsGlobal EconomyGovernment PolicyInflationInternational Monetary FundUK Economy