Macro

Find the latest macro analysis and insights

Inside the markets | Helping you guide clients
  • 1 day ago

Looking at market trends, political developments, the macroeconomic landscape and the impact it has on market volatility, stay ahead with expert commentary.

UK housing market finds its feet as confidence rebounds heading into 2026
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The UK housing market remained soft at the end of 2025, but confidence is returning as expectations for sales and prices turn decisively more positive, according to the latest RICS UK Residential M...

Japan snap election: it’s not about fiscal dominance (yet)
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Recent headlines—from US political pressure on the Fed to the prospect of a snap election in Japan—have amplified talk of “fiscal dominance”. This fiscal dominance narrative appears to be shaping m...

Monthly Market Views: Fixed income opportunities, a positive start for equities and Japan’s economic strategy
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MediaTalk | Season 4 | Ep. 2 - The New AI, Robots, TVs and Regulation Changing Consumer Tech
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MediaTalk listeners get an insider's view of the CES 2026 through the eyes of S&P Global Market Intelligence's Neil Barbour and Stefan Modrich. The pair provide an in-depth look at the latest advan...

Diversification in Agriculture is Critical to Achieving Investor Objectives in the Asset Class
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Agriculture aims to effectively meet the needs of investors seeking the benefits of diversification and an expansion of the efficient frontier of their portfolio. Even a modest exposure to the asse...

Multi-Asset: Market Update January 2026
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2025 will be remembered as a year in which uncertainty and strong investment performance were not mutually exclusive. For the first time since 2019, global equities, bonds, and commodities all deli...

Japan Fund quarterly update Q4 2025
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Watch our latest webcast to look back at the last quarter of 2025 with Carl Vine, Co-Head of Asian Investment, and Sunny Romo, Investment Director.

By M&G In Macro
2026 Credit Research Outlook
  • 1 day ago

Late-cycle risks—high rates, inflation, private credit growth—persist, but strong bank capital, stress tests, and moderate private debt suggest volatility ahead, not systemic collapse.