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Japanese companies favor seniority, but there may be material benefits to multigenerational boards. Japan has made major strides in corporate governance over the past decade. Reforms have included...
Technology prowess and financing discipline will determine who stays ahead in the AI race. In the first phase of the generative AI boom, the winning strategy was straightforward: own the physica...
FX risk can affect returns for international equity investors and managing it strategically, rather than passively, can strengthen portfolio resilience.
Better Vantage: Why emerging markets bonds can improve diversification, income, and currency exposure
Exploring how mid-market and lower-mid-market private equity has emerged as an attractive destination for investor capital.
In 2007, catastrophe risk thinking shifted from isolated regional models to connected global expertise, improving comparability, consistency and portfolio-level insight.
Chris Lau and Norbert Ling from Invesco's Fixed Income team share their investment outlooks for Asia investment grade and high yield bonds for Q2 2025. Read more
Applying the LIVES framework may help make sense of today’s market regime, shaped by tightening liquidity, rising capital costs and concentrated earnings. While structural drivers remain intact, AI...
Global policy shifts are rewiring energy supply and control—and repricing risks and opportunities. Climate change has become a defining force in geopolitics. As governments respond to record heat...
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