CPD: The rise of innovative lifetime income streams

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Retirement planning has long been framed as a numbers exercise. How much someone needs to accumulate, what returns can be achieved and how long that capital needs to last. However,... Read more continue reading

Q2 2026: Fixed income perspectives

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Policy, conflict, and credit At the start of the year, the macro environment was defined by resilient growth and moderating inflation—supporting expectations for gradual Fed rate cuts. Combined with attractive... Read more continue reading

AI powers corporate rebound as cost pressures rise and geopolitical risks intensify – Fidelity International 2026 Analyst Survey

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Companies entered the year feeling better than at any point since the chaotic aftermath of the Covid pandemic, driven by a once-in-a-generation investment boom in artificial intelligence (AI). These are... Read more continue reading

Do market downturns really lead to down years? 

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This week’s move – with the S&P 500 approaching 2026 highs – is a timely reminder of how markets process uncertainty. Even amid heightened geopolitical tension, markets have once again... Read more continue reading

Fuel scarcity signals a significant shift for markets

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The current fuel crisis is reshaping how markets interpret energy risk, with fuel scarcity emerging as a more persistent economic constraint rather than a short-term cyclical factor, according to Datt... Read more continue reading

Globalisation gets harder: A new era of constraint, competition and volatility

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The era of “easy globalisation” is over. Investors and policymakers now face a more fragmented, volatile and politically charged global system, in which long-standing assumptions about growth, inflation and market... Read more continue reading

Market will ultimately climb today’s wall of worry

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Strong market entry points are rarely found during moments of comfort or clarity. Instead, the most attractive buying opportunities are typically associated with periods of market stress. From there, equities... Read more continue reading

Credit markets shift as investors rotate to quality amid volatility

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Australian credit markets are undergoing a clear shift, with investors becoming increasingly selective as macroeconomic uncertainty builds, driving a strong rotation toward high-quality issuers, Helen Mason, Schroders’ head of credit... Read more continue reading

Five charts that put market volatility in perspective

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Fallout from the intensifying war in the Middle East has once again put market volatility in the spotlight. Oil prices have surged, sending the cost of gasoline higher and increasing... Read more continue reading

U.S. employment volatility masks structural shift

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U.S. headline employment rebounded strongly in March, posting the largest monthly gain since late 2024. The jobs rebound, which was broad-based across industries, was a welcome sign after February’s data... Read more continue reading