Critical intelligence on asset allocation and implementation across asset classes
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...
Our M&A strategy celebrates 3 years of resilient, low-volatility returns amid a new cycle of rising M&A activity, attractive spreads and strong diversification potential.
We investigate the main drivers of the recent gold movements and reassess the outlook for the precious metal.
At the LSEG Lipper Fund Awards, announced on 16 April 2026 , Edmond de Rothschild Asset Management was named “Best Asset Management Company of the Year in France over 3 Years” in the “Overall Large...
Securities lending programs have many features that can make each one unique. This paper offers ways that beneficial owners can evaluate differences and identify the program best aligned with their...
The escalation of conflict in the Middle East and the effective closure of the Strait of Hormuz – a vital artery for the global oil supply – triggered heightened volatility across financial markets.
Institutional investors are reassessing portfolios in response to technological disruption, geopolitical uncertainty and evolving capital markets. In a conversation with senior product specialist D...
Dan Mahr, Head of MDT, discusses MDT’s market neutral strategy.
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