The US Federal Reserve (Fed) continues to prioritise fighting inflation even as signs of a softening economy emerge.
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.
Global corporate net debt fell by 0.2% on a constant-currency basis in 2021 to 2022 to $8.15 trillion.
Decarbonisation efforts across Asia are hampered by a fragmented market, but recent trends are encouraging.
How select sectors are being impacted by rising prices and what it means for both company profitability and the health of the economy.
Following a period of market weakness, Chinese stocks are now looking more appealing to investors.
Find out why European smaller companies offer bountiful opportunity for active stock pickers.
How high yield fixed income can help to bring defensive characteristics to multi-asset portfolios in a rising rate environment.
All eyes are on the European Central Bank (ECB) in its bid to tame inflation, but could tightening monetary policy at this point usher in different risks? Portfolio manager Bethany Payne considers the ECB’s options.
As supply chain troubles persist, more companies are considering reshoring operations – and looking to technology to make the transition possible.
Investors must be willing to think differently in a changing market.
As demand for electric vehicles (EVs) solidifies, the next big question for investors will be supply.