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Asia Pacific Investment Grade Bonds: Q1 2026 Review and A Look Ahead
  • 14 Apr 2026

Omar Slim, Co-Head of Asia Fixed Income, offers his insights on recent Iran-related headlines and their implications for Asian bond markets.

Ceasefire opens Strait of Hormuz: market implications
  • 14 Apr 2026

A two-week US–Iran ceasefire is set to reopen the Strait of Hormuz, easing supply concerns and pushing Brent crude prices lower. However, uncertainty remains.

Data centre securitisation: navigating a fast-growing asset class
  • 14 Apr 2026

Europe at a turning point – picking the winners
  • 14 Apr 2026

Looking through market volatility to find Europe’s best companies.

Financed emissions in practice: Navigating disclosure gaps and estimating impact
  • 14 Apr 2026

Financed emissions reveal climate risk exposure. Learn how to navigate disclosure gaps, use estimation models, and improve climate data insights.

Frontier Markets Equity Fund: Focusing on value amid market volatility
  • 14 Apr 2026

Against a backdrop of heightened geopolitical volatility, the Allan Gray Frontier Markets Equity Fund delivered a resilient first‑quarter performance. With global uncertainty high, portfolio manage...

Global Advisory: Growth Equity Update Edition 49
  • 14 Apr 2026

In Credit Weekly Snapshot – Rock the boat
  • 14 Apr 2026

With the US now enforcing closure of the Strait of Hormuz, what will it mean for credit markets? Read on for a breakdown of fixed income news across sectors and regions.

Japan Investment Commentary and Market Outlook March 2026
  • 14 Apr 2026

Japanese equities declined sharply in March as heightened geopolitical tensions in the Middle East drove a renewed...