Industry

Get the latest perspectives on wealth, advisory, institutional, and asset management markets

The Weekly Brief
  • 12 hours ago

The Bank of England (BoE) is in a challenging position as the UK economy battles with still-sticky inflation and questions around the growth outlook. Last week’s data showed headline inflation acce...

Muzinich Weekly Market Comment: April
  • 12 hours ago

A fragile easing in geopolitical tensions has sparked a broad-based rebound across global markets, with risk assets rallying in line with strong seasonal tailwinds. However, rising inflation pressu...

Private banks and EAMs: leveraging synergies
  • 10 Apr 2026

The external asset manager (EAM) segment constitutes a significant part of Union Bancaire Privée’s (UBP) business, accounting for around CHF 23 billion of the Bank’s total assets under management a...

By UBP In Industry
Asset Management: Monthly Macro Insights - April 2026
  • 10 Apr 2026

No longer overbought, still advantaged; Emerging Markets
  • 10 Apr 2026

Commodity exposure? There's a region for that Prior to the Middle East conflict, investor sentiment toward Emerging Markets had turned increasingly bullish, driven by momentum and demand for assets...

Ceasefire, rates and the US consumer
  • 10 Apr 2026

Ralf Preusser was joined in conversation by Bruno Braizinha, Sophia Salim, and David Tinsley on Friday, 10 April 2026, at 9:00 a.m. ET / 2:00 p.m. BST / 3:00 p.m. CEST. The discussion covered the i...

2026 DC Trends SurveyThis survey provides extensive information for DC plan sponsors to use in improving and benchmarking their plans.
  • 10 Apr 2026

This survey provides extensive information for DC plan sponsors to use in improving and benchmarking their plans.

Equity Outlook: Middle East War, Energy Shock Test Fragile Markets
  • 09 Apr 2026

Markets are pricing in a wider range of scenarios as geopolitics and AI reshape the landscape. Global equities declined during a volatile first quarter as the war in Iran roiled energy markets and...

EUROPEAN BANK SUBORDINATED DEBT – THE RISK IS VOLATILITY, NOT FUNDAMENTALS
  • 09 Apr 2026

Middle East tensions, high-profile defaults in private credit, and broader macro uncertainty have fuelled investor concerns around the potential impact on the European banking sector.