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The global economy and markets are increasingly being impacted by ruptures. Strategically diversifying long-term allocations can build resilience.
A Better Vantage video: Amid rising concerns about private credit, Vanguard economist Joe Davis offers a steady perspective on how investors should think about the asset class.
The views expressed herein do not constitute research, investment advice or trade recommendations, do not necessarily represent the views of all AB portfolio-management teams and are subject to cha...
Equity exposure was reset to neutral as cash and select trims were reallocated to US aggregate bonds.
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...
Global Portfolio Manager Chris Willcocks shares key takeaways from his recent trip to Japan and what they mean for the portfolio. Drawing on insights across the Consumer, Industrials, Property and...
Global markets maintained a strong risk-on tone last week, supported by easing geopolitical tensions as the likelihood of a major escalation in Iran diminished. Improved sentiment, reflected in low...
Key Takeaways Conceptually, BDCs and interval funds are structurally sound, but outcomes depend heavily on manager quality Rising redemptions currently appear to reflect uncertainty driven by limi...
The second episode in our three-part series, turns the spotlight to Asia, a region at the centre of global growth and evolving credit opportunities. Joined again by Warren Hyland, we explore how s...
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