Latest multi-asset & multi-strategy thinking
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Trump year two: ten issues to watch
28 Nov 2017
From late night tweets to tough talk on trade, Donald Trump’s first year in office has been far from dull. We explore some key developments investors should look out for over the next 12 months.
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Brexit: the investment implications of no deal
14 Nov 2017
The risk of the UK exiting the European Union without agreeing its future relationship appears to have risen in recent weeks. We consider the ramifications of such an outcome for the UK economy and sterling-denominated assets.
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Equity volatility: what lies beneath
5 Oct 2017
While aggregate volatility of major stock indices continues to be atypically low, slowly but surely uncertainty is building up again in financial markets. Investors should take note.
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Macron victory spurs renewed hope of European integration
10 Jul 2017
Emmanuel Macron’s election as French president has raised hopes that the European project is set to be given renewed impetus. This could mark a sea change for financial markets, writes Ahmed Behdenna.
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Be ready as dispersion ousts correlation as key for investors
9 Jul 2017
Strong correlations since the financial crisis will begin to break down.
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A matter of trust - by Euan Munro
14 Nov 2016
Aviva Investors’ CEO Euan Munro discusses what the asset management industry can do to demonstrate its societal and economic value.
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