Source intel on energy, metals, and raw materials markets – plus more
Reducing equity risk by rotating into long bonds and commodities as market risk moderates.
When traditional commodity strategies fall short, how can alternative strategies unlock broader, more resilient opportunities?
As Team GB heads towards its most successful gold medal haul at the Winter Olympics, one image from the Games stood out for me - not of a podium moment but of a near miss. Andrew Musgrave finished...
In 2026, investors are targeting increases to their private market allocations. Debt is here to stay, but equity is set to regain ground.
Over the past decade, the Middle East has evolved from a region primarily associated with energy resources into a sophisticated hub for global capital and private investment.
Since last April’s “Liberation Day” tariff tantrum, the resilience of real assets, especially commodities, has been nothing short of impressive.
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...
Daniel Krauss, director at S&P Global Ratings, joins The Chemical Week Podcast for a discussion about the latest S&P Global Ratings chemicals report and the road ahead for the chemicals industry. T...
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