Research Analyst David Barker considers how consumer staples firms are responding to what has been a difficult trading environment.
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The Fed’s rate cut decision may provide investors who have been on the fence about investing in property equities reasons to reconsider.
The arrival of less restrictive monetary policy could further buttress a still resilient U.S. economy.
How this year’s Medicare drug price negotiations could affect the pharmaceutical industry.
Jay Sivapalan, Head of Australian Fixed Interest, discusses the current state of credit markets and explores how active management strategies, mixed with nuanced credit investing, can lead to positive returns for investors.
Strong performance from Japanese larger companies is setting the scene for small and mid-cap stocks to shine given their potential for relatively higher growth.
Portfolio Manager Jamie Ross discusses the European Central Bank's decision to lower interest rates for the second time in 2024.
The drivers of emerging market equity returns are evolving as innovation and economic decoupling join favorable demographics as future sources of excess returns.
This week's chart to watch spotlights the contrast between U.S. rate cut expectations and the broad economic growth trajectory.
Global dividends rose to a record US$606.1 billion, up 8.2% on an underlying basis.
Why investors looking to diversify equity portfolios may want to consider these long-discounted financials.