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Explore how shorting strategies can enhance alpha generation and risk management in concentrated equity markets.
China’s fifteenth five-year plan (2026–2030), to be unveiled by the National People’s Congress in March, is expected to reshape how the People’s Bank of China manages the renminbi (RMB) exchange rate.
For several years now, Switzerland and Asia have been vying for the title of ‘World's Leading Wealth Management Centre’. The competition is fierce, but it can also be highly instructive.
In the first decade of the 21st century, “everyone” assumed that hedge funds posed the greatest risk to financial stability. A committee of top regulators rushed to get ahead of the inevitable acci...
The turnaround in Japan’s macroeconomic performance in the years since Shinzo Abe’s 2012 election has been nothing short of remarkable. After contracting by 0.7% in yen terms over the prior two dec...
Insurance is a key component of a robust risk management strategy for BESS manufacturers
The latest survey findings reveal growing ESB liabilities, limited funding adoption, and a shift toward flexible, employee-focused savings solutions across the region.
Our latest risk intelligence report for EMEA, based on a global research survey, takes a detailed look at the on-the-ground challenges facing financial institutions in the region and unpacks the pe...
Radar™ 5 embeds Generative AI into pricing and underwriting, delivering speed, precision, and collaboration to help insurers act faster and gain a competitive edge.
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