Critical intelligence on asset allocation and implementation across asset classes
Key Takeaways Public market investors are rapidly pricing in AI disruption risk across wealth management and other verticals The risks to traditional fee structures are real, but core advantages s...
Security selection may offer an attractive source of alpha diversification in global, multi-sector strategies.
Rising geopolitical risk prompts modest de risking, but solid growth and Fed easing keep the outlook constructive.
Replay - After recent Middle East events, outlooks point to controlled disorder: wide return dispersion, unstable correlations. Diversify across sectors/regions...
Japanese equities rose strongly in February, with both the Nikkei 225 and TOPIX up 10.4% to new closing highs. The...
China and South Korea, two of Asia’s most dynamic markets, have fared very differently in 2026.
EM debt gained in February as high yields and Treasuries helped returns, but late‑month geopolitical shocks saw spreads widen and the outlook turn uncertain.
The May 2025 survey results are from investment professionals across all asset classes, and we provide our predictions on inflation, recession, asset class performance and more.
Domestic Portfolio Managers Andrew Martin and Stuart Welch share their insights from the recent reporting season, breaking down the key themes and challenges behind one of the strongest seasons in...
Copyright © 2026 Markets Recon. All Rights Reserved.