A 12–24 month relative-value outlook across major alternative asset classes, produced by J.P. Morgan Asset Management’s Alternatives Investment Strategy & Solutions (AISS) team
Curating diverse return streams is important. Asset-based finance may help. Diversification is often treated as an asset-allocation decision. How much capital should go to equities? Bonds? Alterna...
Policymakers often "fight the last war." This Economics Weekly explores how central banks and fiscal teams now pivot toward targeted, aggressive inflation control.
This edition of the GIV elaborates on our macro convictions around inflation, the war in the middle-east and our asset allocation views.
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Simplify the complex with our timely and thought-provoking insights on market events and outlook and make informed investment decisions more confidently.
Assess the investment implications of the Iran conflict, and explore the potential economic and market impact under different scenarios, with the latest analysis from J.P. Morgan’s Market Insights...
Drawing on the depth and breadth of their market and economic expertise, our global macro strategists offer insight into today's big investment themes to enable more confident portfolio decisions.
Private credit stress is emerging as Artificial Intelligence reshapes software risk. CI Private Markets examines legacy underwriting, vintage dispersion, and disciplined post-large language models...
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