Commodities

Source intel on energy, metals, and raw materials markets – plus more

Q2 2026 Credit Research Outlook
  • 19 hours ago

Geopolitical and energy shocks raise late cycle risks, but strong banks and senior exposure suggest volatility—not systemic stress.

In Credit Weekly Snapshot – Pump it up (when you don’t really need it)
  • 19 hours ago

Rising petrol prices will eventually feed into higher inflation, which is being reflected in the pricing of government bonds.

Iran war: Energy normalization drifts further away
  • 19 hours ago

Markets see de-escalation as signaling war's end, but even if a ceasefire forms, the energy shock may last longer than consensus expects.

Systematic S&P 500 Strategies Targeting Stability and Growth Potential
  • 19 hours ago

Meet the S&P 500 Futures Intraday Edge Indices, a dynamic index series built to react to changes in market conditions as they seek to capitalize on trends, optimize S&P 500 exposure, maintain stabi...

The Weekly Brief
  • 30 Mar 2026

The Bank of England (BoE) is in a challenging position as the UK economy battles with still-sticky inflation and questions around the growth outlook. Last week’s data showed headline inflation acce...

Balancing Act Monthly Insights: Global Multi-Asset (March 2026)
  • 30 Mar 2026

For growth, we upgraded both developed market (DM) equities and commodities to overweight. For defensives, we downgraded high yield to a small underweight while increasing DM sovereigns to an overw...

JH Explorer in the Andes: Take my breath away – Inside the Vicuña district, a future engine of global copper supply
  • 30 Mar 2026

A first-hand look at the Vicuña district high in the Andes, exploring why large-scale copper projects are vital to the energy transition and long-term global supply.

Emerging-Market Equities: A Brief History of Volatility and Recovery
  • 30 Mar 2026

Could heightened uncertainty driven by the Middle East conflict lead to strong return potential? Emerging-market (EM) equities have been hit hard since the Iran war began, as investors worry about...

What five weeks of conflict mean for emerging market debt
  • 30 Mar 2026

EM spreads are holding up well as energy route disruption from the Iran war continues, but differentiation is occurring across sovereign credits as investors reassess future risk.