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Anatomy of a US Treasury Sell-Off

What triggered April’s Treasury sell-off? What’s next? And how should investors manage duration risk?

Scott DiMaggio | 18 April 2025
A graphic depiction of a horizontal bar chart.
Gauging the Fear Factor: From Volatility Peaks to Equity Returns

Extreme fear in equity markets has often been followed by extremely good returns.

17 April 2025
A graphic depiction of a vertical bar chart.
Why Does Volatility Often Lead to Strong Emerging Equity Returns?

Emerging-market stocks have done particularly well after equity market crises in the past.

Sammy Suzuki | 17 April 2025
On a car dashboard, a warning light is illuminated and the hand on a digital display dial is hovering just above zero.
How Tariff Troubles May Hurt Europe’s Growth

President Trump’s tariffs bring déjà vu for the euro-area economy: it’s back to slower growth and lower rates.

Sandra Rhouma | 17 April 2025
Light rays shoot out from behind a thick cover of clouds in the sky.
Equity Outlook: Finding Silver Linings in Very Cloudy Markets

As volatility rises, staying invested is a strategic priority for capturing long-term return potential in a broadening market.

Nelson Yu | 10 April 2025
Viewed from above, a colorful assortment of cargo containers sits on a dock.
The Tale of Tariffs Round Two for the US Economy

How might the recently announced US trade measures translate into economic reality?

Eric Winograd | 10 April 2025
Multi-Asset Income in a New Regime

Generating income is often front of mind for investors. But it's important to stay flexible.

Karen Watkin, Fahd Malik | 03 April 2025
A raised drawbridge interrupts a long bridge span over vast open water. Two sail boats prepare to pass through..
What Raising the Trade Drawbridge Means for the World Economy

Trade wars threaten longstanding trade partnerships and could weigh on the global economy.

Eric Liu, Eric Winograd | 03 April 2025
Global Macro Outlook: Second Quarter 2025

Global growth should continue to slow if US policy direction remains unclear. Inflation has waned but tariffs could boost prices in the near term. We expect most central banks to ease further yet more slowly. While broad uncertainty prevails, we don’t forecast a recession in any major economy for 2025.

Eric Winograd, Adriaan duToit, Sandra Rhouma | 01 April 2025
A World in Flux: Managing Evolving Risks in Equity Markets

Risk management is being put to the test in 2025. How can equity portfolio teams cope with multiple hazards across equity markets this year?

Nelson Yu, Jonathan Berkow | 27 March 2025
Dark blue heavy seas thrash beneath a slate grey sky.
From Trade Wars to Energy Security: Mega-Force Manifestations

The effects of mega-forces are turning up in recent policy and geopolitical developments.

Robertas Stancikas, Inigo Fraser-Jenkins | 27 March 2025
 A graphic depiction of two line charts in yellow and blue
Emerging-Market Equities: The Steep Cost of Missing Out

Staying invested in EM stocks can help avoid sacrificing attractive return potential.

Sammy Suzuki | 20 March 2025