Critical intelligence on asset allocation and implementation across asset classes
The ReturnPlus strategy invests in a broad range of liquidity sub-asset classes, while consuming limited regulatory capital. Our ReturnPlus team explains why investors should consider an allocation...
Themes and implications from the Multi-Asset Solutions Strategy Summit to help guide your portfolio decisions.
Investors are contemplating a wider range of potential macro outcomes and a fatter bearish left tail. We maintain a modest risk-on stance, including an equity overweight. In fixed income, we lean i...
Asian equities offer hidden value in dynamic companies across fast-growing economies. Global investors are rediscovering Asia ex Japan (AxJ) equities. Yet, the region’s constituents move to differ...
April PMIs (Purchasing Managers’ Indices) point to a meaningful improvement in global manufacturing momentum, with the U.S., Eurozone and Japan all posting stronger-than-expected and firmly expansi...
Discover the impacts of retirement reform on capital markets.
CI GAM Economist Neil Shankar analyzes the April 29 Bank of Canada rate announcement, providing critical insights into interest rates and the 2026 policy outlook. Read the full analysis here.
Capital markets are expanding beyond traditional benchmarks as tokenization and AI unlock new opportunities.
Our team works closely with our insurance portfolio managers to customize investment strategies. Learn about our wide range of advisory and analytical services.
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