Global Wealth Research

Published quarterly our Global Wealth Research report highlights key investment themes, arising from cyclical and structural changes in the global macro and financial markets, with implications for multi-asset portfolio construction.

Published quarterly, this report covers:

  • The most impactful macro indicators in the current market environment
  • A cross-asset comparison covering rates, credit, equities, listed alternatives, commodities, and currencies
  • Insights on market shifts and their implications for multi-asset portfolio construction

Our latest quarterly reports

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