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Financial markets respond not only to quantitative fundamentals but also to narratives that shape investor perceptions of risk, particularly during periods...
Liquidity limits in private credit allow the asset class to function. Private credit is a key pillar of debt capital formation alongside public credit markets and bank balance sheets. But an import...
As the Middle East conflict causes widespread uncertainty for global financial markets, this paper offers a guide to the potential duration of volatility and the different impacts likely for emergi...
Macro shifts create a tough but attractive backdrop as strong markets and policy risk push SWFs back to privates and out of fixed income.
Guardian Capital LP, as the Manager of the Guardian Mutual Funds and ETFs, has issued the following tax slips (or forms) in respect of the 2025 taxation year …
As geopolitical flashpoints intensify, we discuss how fixed-income reserve managers may be able to leverage tactical Treasury positioning, inflation-protected securities and selective credit exposu...
Collaboration empowers private credit managers to combine Apex Group’s servicing with BlackRock’s Aladdin technology for greater control and efficiency
The prospect of a prolonged Middle East conflict is unsettling financial markets, as investors weigh the potential macroeconomic consequences.
The views expressed herein do not constitute research, investment advice or trade recommendations, do not necessarily represent the views of all AB portfolio-management teams and are subject to cha...
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