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An update from the front lines of the Trade War, with a focus on implications for investors.
Why J.P. Morgan Asset Management uses weighted average carbon intensity in its fund reporting
Our thoughts, based on our professional judgement, on IFRS 9 and other related issues, with the expectation that clients would provide definitive clarity on their individual policies and investment guidelines regarding a number of IFRS 9 aspects.
Our view over the past few quarters has been that EURUSD should be rangebound, as the cyclical outperformance of the US economy is offset by the eurozone’s relatively better balance of payments position.
The times when investors were able to enjoy a quiet summer seem to be over. August was a volatile month for financial markets, with the VIX averaging 19, compared to 13 in July.
The theory of negative interest rates is straightforward, but the practice is not. What do negative rates mean for savers?
How to enhance portfolio returns while limiting investment costs
The key political, macro and credit risks that insurers may want to address in 2019.