The ‘Trump trade’ has impacted European equity markets, but reduced uncertainty following the election could be a tailwind for stocks in the region.
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Signals embedded in options markets indicate essentially a toss-up, with a very slight edge for former President Trump.
While U.S. consumer loan balances, which include credit cards and other revolving plans, recently surpassed $1 trillion for the first time in history, the rise in debt tells only half the story.
Sales of GLP-1 weight loss drugs are growing 50% annually, with more research and development underway that could extend growth.
Uncertainty usually rises leading up to elections, but the actual result may help to reduce investor anxiety and market volatility.
A recent trip to India highlighted the country’s progress in building out key infrastructure, setting the stage for future growth.
We explore the electoral setback for Japan’s Liberal Democratic Party, as the country navigates political uncertainty and market instability.
Here we compare active ETFs and mutual funds, highlighting the benefits of both and flagging the key questions investors need to ask.
Dispersion exists across Europe’s economies. Less dispersion exists in the land of credit. So where are the opportunities in this rate cutting cycle?
In this series of short video interviews, Ali Dibadj, CEO, speaks with Janus Henderson’s experts about how they are investing together with clients for a brighter future.
Following nearly three years beset by economic turmoil, debt default, and political instability, Sri Lanka is on a fresh path under a new leadership.