Critical intelligence on asset allocation and implementation across asset classes
The GISC maintains a constructive base-case on moderating but positive global growth. At the same time, the ongoing oil and logistics shock prompted by the war in Iran presents uncertainties and th...
Asia tech is booming - discover how the FTSE Asia Tech+ Index unlocks growth, diversification and global innovation beyond US tech dominance.
Emerging market credit can provide income, broad global diversification and supportive technical tailwinds, argues Warren Hyland.
Escalating Iran risks lift safe‑haven demand for JPY, while the USD outlook softens amid policy uncertainty, weaker equities, and expected Fed easing.
John and David are joined by Richard Fisher, AGF portfolio manager (and diehard Buffalo Sabres fan), to discuss the U.S./Israel war with Iran and its impact on oil and other real assets.
CI GAM Economist Neil Shankar analyzes the March 18 Bank of Canada rate announcement, providing critical insights into interest rates and the 2026 policy outlook. Read the full analysis here.
Fee compression has focused investors’ index manager selection on one important but limited criterion: price. We believe investors should be asking more questions.
Institutional investors are increasing allocations to private equity, private credit, and real assets. Explore the drivers behind this trend
Emerging markets are at the cusp of a new era. Persistently strong demand for bonds in the asset class, solid fundamentals and a weaker US dollar are creating attractive opportunities. At the same...
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