Despite market volatility and noise, US Treasuries are still considered a safe-haven

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Recent market volatility and news flow driven by geopolitical and trade issues have led some to question the US Treasuries’ status as a safe-haven. While there are valid concerns around... Read more continue reading

CPD: Currency risk – friend or foe?

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In today’s interconnected world, global companies play a significant role in our daily lives. However, when Australian investors allocate their capital to global markets, they are exposed not only to... Read more continue reading

US rally relieves but does not reassure

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US equities underperformed global markets in the first six months of 2025 but continue to trade at a premium to foreign markets. US investors must not become complacent notes global... Read more continue reading

Mortgage funds surge as investors hunt for yield amid market volatility

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With equities volatile, fixed income returns still muted, and commercial property facing headwinds, more investors are turning to an often-overlooked sector – mortgage funds. According toBen O’Hara, Executive Director and... Read more continue reading

CPD: A multi-year tailwind for EM assets

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A seismic shift is underway in global capital markets. The extreme concentration in US assets, a phenomenon driven by fiscal policies that ballooned the $US international debt to over 26... Read more continue reading

Greens shoots for global equity markets despite Trump 2.0 and a slowing US economy

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Trump 2.0 remains the focal point as markets head into the second half of 2025. There is greater clarity around the implication of the US administration’s policies on markets, and... Read more continue reading

Half-time recap: Tariffs, trade wars, and a turnaround

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The year started with palpable enthusiasm, with equity markets rejoicing around incoming President Trump’s pro-growth and deregulatory agenda. This optimism was further fuelled by strong corporate earnings and signs of... Read more continue reading

Uncertainty in the US opens more opportunities in Europe

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The heightened volatility and unpredictability of US trade policy has made Europe more attractive to investors seeking stability and certainty, according to Philippe Poggioli, managing partner of Access Capital Partners,... Read more continue reading

The case for true diversification amid overexposed markets 

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The significant changes in the funds management industry in the past decade have brought issues such as liquidity, correlation and diversification to the forefront, and created new risks for investors... Read more continue reading

Tariff uncertainty back with Asia in focus

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In July, the US administration surprised by announcing higher-than-expected tariffs on some major counterparts, notably 30% on Europe and 50% on Brazil, while extending the tariff pause until August Clarity... Read more continue reading