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Victoria Scholar

interactive investor (ii.co.uk)UK
Interested in
Tech StocksFinancial MarketsMacro EconomyUK Equities
About

Victoria Scholar focuses on turning fast-moving market stories into clear, investor-facing analysis, linking individual stocks, sectors and macro trends to what they mean for portfolios at interactive investor. She is Head of Investment at interactive investor, combining written commentary, recurring tech-stock roundups and live webinars on themes ranging from artificial intelligence and stock market rallies to UK dividend strategies. Her coverage spans US and UK equities, commodities, foreign exchange, macroeconomic data, central banks and cryptocurrencies, with a consistent emphasis on accessibility for non-professional investors.

Tech stocks, AI and high-growth themes

A recurring strand of Scholar’s work is a weekly series identifying the “20 hottest tech stocks”, where she highlights fast-moving names across semiconductors, platforms, artificial intelligence, crypto-related shares and consumer technology.

Recent instalments focus on companies such as Nvidia, Apple, Meta Platforms, Uber, Broadcom, SK Hynix, Shein, SpaceX, Google’s AI operations and Palantir, using short, stock-specific analysis to explain why each has moved and what risks or opportunities are emerging. She uses this format to track themes like AI-driven rallies, valuation risk warnings, sector-wide sell-offs and the impact of new listings or regulatory developments on growth stocks. In addition to the weekly lists, she writes tech-focused pieces that pull together names across AI platforms, chipmakers, cryptocurrencies and private space companies, setting them within a broader narrative about innovation, volatility and investor positioning.

Her webinars on AI and the markets extend this strand, exploring whether the current AI cycle resembles a boom, bubble or structural breakout and what that implies for stock selection and risk management.

Macro data and UK-listed companies

Scholar regularly connects headline economic data to the performance of UK-listed companies and sectors, using both news articles and webinars to bridge macro indicators and equity stories. Her coverage of inflation, including pieces on UK price growth and its move towards central bank targets, sets out the implications for households, interest rates and listed businesses.

Company-focused articles such as her work on Vistry’s losses and strategic rethink, and on JD Sports’ claims of “resilient” sales despite a sceptical market reaction, show a focus on how earnings, guidance and sector conditions filter into share price moves.

In broadcast commentary on JD Sports and Nike, she interprets shifting consumer preferences towards brands like On and Hoka as a driver of pressure on established leaders, tying brand dynamics directly to equity performance. Her “Buying British: Dividends, Defence and Diversification” webinar and related coverage examine the FTSE 100 and FTSE 250, weighing the case for UK markets delivering another resilient year against sector-specific risks and the need for balanced, diversified portfolios.

Market cycles, risk and portfolio construction

A second major thread in Scholar’s work is analysis of market cycles and portfolio strategy, often delivered through interactive investor’s Lunchtime Live series and other panel events she hosts. She chairs discussions on topics such as navigating risk and opportunity when markets shift, assessing whether a stock market bull run can sustain a third year of strong annual returns, and setting a global market outlook for coming quarters. In these formats she frames questions around asset allocation, diversification, risk management and the balance between growth and income, drawing out practical angles for investors rather than focusing only on abstract macro commentary. Her hosting style centres on guiding conversations between fund managers, economists and multi-asset specialists, asking targeted questions about volatility, sector rotation, defensive positioning and the role of UK and global equities in long-term strategies. Across these sessions, she returns to core themes of understanding what “risk” really means in the current environment, identifying key pressure points in markets, and translating them into clear portfolio implications for retail investors.

Broadcast commentary and wider media role

Scholar’s written and video work at interactive investor is reinforced by a significant broadcast presence, which shapes the tone of her coverage towards concise, on-air-ready explanations of market moves. She holds a senior investment role at interactive investor and is a regular commentator on economics and financial markets across major television and radio outlets, including frequent slots on Sky News, the BBC, LBC, Times Radio and TalkTV.

She also writes a weekly “Rate My Portfolio” column for The Telegraph, assessing individual portfolios and offering practical adjustments, which further anchors her perspective in the realities of household investing rather than institutional trading. External profiles describe her as a leading financial commentator known for accessible takes on complex market stories and note recognition such as CITY A.M.’s Analyst of the Year 2023 and awards for technical analysis including the Bronwen Wood Prize. Before her current role, she worked in market analysis, financial journalism and business news production at firms spanning investment banking, international newsrooms and trading-focused broadcasters, giving her coverage a mix of trading-floor, editorial and broadcast experience.

This blend of responsibilities means her reporting consistently bridges detailed market mechanics with straightforward explanations, aimed at investors who need to understand both the headlines and the underlying drivers of performance.

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