Private markets have been viewed as a source of diversification and income, but recent performance is prompting a closer look at liquidity, structure, and inflation sensitivity.
Insights
Our latest thinking on the themes shaping today’s investment landscape. Explore timely updates, quarterly features and in-depth analysis straight from our experts.
Portfolios built for yesterday’s relationships may behave very differently in a more correlated world
As geopolitical uncertainty continues, smaller companies are responding faster, signalling a change in where returns are generated.
Has relentless geopolitical uncertainty forced investors to rethink resilience, flexibility and the role of long/short strategies in portfolios?
Current trends, risks, and opportunities for investors within the office real estate market.
With the U.S. market dominated by mega-cap tech companies, investors may be more exposed to tech – and less exposed to healthcare innovation – than they realize.
International equities offer a diverse opportunity set that can serve as a counterbalance to tech-heavy U.S. market exposure.
Private credit managers should prioritize liquidity management, diversification, and transparency to better suit a broader investor base.
As uncertainty climbs, markets are shifting, opening the door for more flexible investment approaches.
Greater market complexity is increasing the relevance of flexible, diversified approaches to investing.
A more diversified, outcome‑oriented approach to fixed income designed to improve risk‑adjusted results over time.