EM debt rebounded in April as improving risk sentiment lifted both hard and local currency debt, though geopolitical tensions and oil kept markets cautious.
European bank results for the first quarter of 2026 have revealed a strong start to the year, allaying some of the concern that the prolonged conflict in the Middle East might impact bank fundament...
As the Iran conflict continues to dominate headlines, we make the case for unconventional diversifiers, such as selective emerging market assets, renminbi and high-quality spread products.
Blissful markets
This week highlighted the impact of geopolitics on the global economy and markets.
In this discussion Maiyuresh Rajah, Director of Investments at Aviva, explores how regulatory change and market evolution are reshaping the UK Defined Contribution landscape.
Peak earning years may create wealth, but long-term financial security depends on how that wealth is structured, sustained, and ultimately, transferred.
In a period marked by volatility, SAFI’s disciplined, systematic signals (value and momentum) helped deliver resilient performance and consistent alpha.
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