Asset allocation 2024: A year in review
Welcome to Uncommon Truths, Paul Jackson and Andras Vig’s regular in-depth look at the big topics impacting markets.
Read actionable insights from our market strategy and global solutions teams. Where do they see the greatest opportunities in the short-, medium- and long-term?
Welcome to Uncommon Truths, Paul Jackson and Andras Vig’s regular in-depth look at the big topics impacting markets.
Invesco Solutions develops capital market assumptions (CMAs) that provide long-term estimates for the behaviour of major asset classes globally.
Donald Trump completed an historic comeback in November as both he and his Republican Party swept the board in the US Presidential and Congressional elections.
Welcome to Applied philosophy, our view on global equity market model sector allocation.
Paul Jackson, Global Head of Asset Allocation Research for EMEA, discusses his insights on portfolio allocations and strategies for the 2025 outlook.
The Global stock market accrued further gains in October, however, this aggregated statistic belied mixed performance beneath the surface.
Learn how multi-asset funds can help manage UK CGT liability and reduce risk in market uncertainty. Find out more.
Alternative Opportunities is a quarterly report from Invesco Solutions. In each new edition, we look at the outlook for private market assets.
In our quarterly analysis, Invesco experts track major trends and structural issues that investors may want to consider when making asset allocation decisions. Read our latest analysis that covers market strategy and opportunities across various asset classes.
Global stock markets accrued impressive gains through September, rounding out a positive, if emotional, 3rd quarter for investors.
Global Stock markets, in aggregate, carved out marginal gains across August, however, this net performance masks far higher levels of volatility beneath the surface.
Stocks delivered reasonable returns across July, though a vicious sting in the tail would await investors.
Stocks endured mixed performance in June as US shares resumed their position of global leadership whilst European bourses, rocked by political uncertainty, fell away.
Following a challenging April, stock markets enjoyed a recovery in May, delivering firmly positive performance across most developed markets, despite a slew of high-profile political developments.
We believe Africa will be the economic and investment story of this 21st century. In our second Africa report, Paul Jackson and members of Invesco’s global market strategy team outline the attractive and solid fundamentals that may define the next two-to-three decades for the continent.