This weekly update provides a snapshot of changes in the economy and markets and their implications for investors.
This paper, written by Tai Hui, addresses the factor and risk of inflation with the latest U.S. economic data.
This paper, written by Dr. Jasslyn Yeo, explains why cyclical tailwinds support a positive stance for Asia ex-Japan equities this year, and why persisting secular headwinds mean that the investment case for Asia ex-Japan growth stocks remains strong.
Start the week by reading J.P Morgan Asset Management's one-page snapshot of headlines and market performance for Asia Pacific countries.
This paper, written by Hannah Anderson, highlights the latest “Phase One” trade deal signed by the U.S. and China and its investment implications.
We expect another positive year for emerging market debt in 2020, with base case expectations of about 8% returns for emerging market hard currency, and 11% for emerging market local currency.
We are pleased to release this month's market review, a summary of the factors driving global markets over the last quarter.
Themes and implications from the most recent Global Fixed Income, Currency & Commodities Investment Quarterly
Updated each quarter, this piece explores key themes from our Guide to the Markets, providing timely economic and investment insights.
Updated quarterly, the Guide to the Markets provides a comprehensive array of market and economic histories, trends and statistics.