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State Street Investment Management

  • 1,001-5,000 employees
  • Financial Services

State Street Investment Management

About State Street Investment Management
At State Street Investment Management, we have been delivering better outcomes to institutions, financial intermediaries, and investors for nearly half a century. Starting with our early innovations in indexing and ETFs, our rigorous approach continues to be driven by market-tested expertise and a relentless commitment to those we serve.

With over $4 trillion in assets managed1, clients in over 60 countries, and a global network of strategic partners, we use our scale to create a comprehensive and cost-effective suite of investment solutions that help investors get wherever they want to go.

Website
www.statestreet.com/im

1 This figure is presented as of March 31, 2025, and includes ETF AUM of $1,553.58 billion USD of which approximately $106.42 billion USD in gold assets with respect to SPDR products for which State Street Global Advisors Funds Distributors, LLC (SSGA FD) acts solely as the marketing agent. SSGA FD and State Street Global Advisors are affiliated. Please note all AUM is unaudited.

Indexed Fixed Income: Delivering Precise and Reliable Outcomes
  • 31 Mar 2026

Indexed fixed income at SSGA continues to grow, underpinned by an innovative and systematic approach to consistently deliver index returns for our clients.

Iran war: Energy normalization drifts further away
  • 31 Mar 2026

Markets see de-escalation as signaling war's end, but even if a ceasefire forms, the energy shock may last longer than consensus expects.

Q2 2026 Credit Research Outlook
  • 31 Mar 2026

Geopolitical and energy shocks raise late cycle risks, but strong banks and senior exposure suggest volatility—not systemic stress.

Global growth under pressure from energy risks
  • 30 Mar 2026

Geopolitical shocks often fade faster than feared, but the Iran war presents renewed inflation and growth risks as energy markets brace for prolonged disruption.

Navigate equity market unrest: Short shocks, longer echoes
  • 30 Mar 2026

Geopolitical shocks typically spark immediate equity responses, but a disciplined, diversified approach can help navigate uncertainty toward long-term results.

Short shocks, longer echoes
  • 30 Mar 2026

Geopolitical shocks typically spark immediate equity responses, but a disciplined, diversified approach can help navigate uncertainty toward long-term results.

The yield curve's message for equity markets
  • 26 Mar 2026

A flattening yield curve and higher real rates are lifting the bar for equities, shifting leadership toward quality, growth, and durable fundamentals.

Fixed income scenarios for the current market environment
  • 24 Mar 2026

Fixed income investors face significant uncertainty around the Middle East conflict. Rather than relying on a single forecast, our latest insight considers how different conflict outcomes may affec...

Iran war complicates global policy outlook
  • 23 Mar 2026

Central banks reacted to the Iran war with caution and hawkish tones, but markets may be overpricing inflation risks amid rising growth uncertainty.