A real fear, now largely passed
When the United States and Israel struck Iran on 28 February 2026, the most immediate market concern was an...
At its June meeting, Kevin Warsh's first as chair, the Federal Open Market Committee (FOMC) left the target range for the federal funds rate...
Arif Husain, Head of Global Fixed Income and Chief Investment Officer at T. Rowe Price, shares his views on the potential long-term market implications...
By Thomas Haugaard, Portfolio Manager on the Emerging Markets Debt Hard Currency (EMD HC) Team at Janus Henderson Investors.
Key takeaways:
The hard currency emerging market...
Rarely in recent memory has a single listing carried this much narrative weight. SpaceX is heading to the public markets at a valuation of...
As expected, the European Central Bank (ECB) increased policy rates today, its first hike since 2023. Rates on the deposit facility, main refinancing operations,...
Macro Talking Points from MFS Investment Management.
The market overshoots first and asks questions later
We may have just observed yet another case of market knee-jerk reaction...
Australia’s 2026 Budget reshapes investing: proposed CGT and negative gearing changes make income assets more attractive, says Income Asset Management's Jon Lechte.
More Powerful Than...
Why Government bonds may be your safe harbour while smart credit picks may help drive returns - Three global themes investors should not ignore.
Government bonds are...
From Dylan Bourke, Managing Director and Portfolio Manager, Kapstream Capital.
Rising interest rates, equity market volatility, and stretched market valuations are seeing investors reconsider the...



































