Portfolio Construction

Critical intelligence on asset allocation and implementation across asset classes

Tactical Asset Allocation
  • 1 day ago

After three months of modest increases, risk appetite has stalled on trade policy uncertainty. In March, we still favor bonds and defensive quality US stocks.

AI in the portfolio: Good Choice AI sales assistant
  • 1 day ago

Good Choice, a leading Korean travel app company known for its hotel and accommodation booking services and a CVC portfolio company since 2019, has integrated an AI sales assistant to enhance custo...

Weekly Market Commentary | June 9 2025
  • 1 day ago

Stocks: U.S. Indices Found Their Footing In The Lead-Up To The Tariff Announcement On Short Covering, But Pulled Back Sharply After; Important To Put The Pullback In Proper Context; Tariff Announce...

Aberdeen House View: Navigating a volatile macro and market regime
  • 1 day ago

How should investors navigate tariffs, rate cuts and fading US exceptionalism? Explore the latest House View for new insights on equities, bonds, private markets and the global trends shaping the n...

Global Investment Management Survey
  • 2 days ago

Survey says! See the results of the May 2024 Franklin Templeton Global Investment Manager Survey with our predictions on inflation, recession, asset class performance and more for 2024.

Post Trade Solutions now offers cross currency compression for GBP/USD
  • 2 days ago

Post Trade Solutions adds GBP/USD to its compression service, enabling firms to reduce FX risk, cut costs, and optimise cross-currency swap portfolios.

UBP House View - June 2025
  • 2 days ago

As we enter the second half of the year, the fading trade war rhetoric is paving the way for a renewed focus on diversified asset allocations.

Midyear equity outlook: Staying selective amid volatility
  • 2 days ago

In an environment of elevated macro risks and uncertainty, there are bright spots fuelling our optimism for equities.

The Fragmentation Era
  • 2 days ago

With the world order in flux, investors can look to fortify portfolios by diversifying across global markets and capitalizing on attractive, high quality yields.