
Weekly Market Compass Staying focused through tariff uncertainty and market jitters
With policy uncertainty rattling markets and consumer sentiment, it’s important to remember the market's long-term growth throughout its history.
Stay up to date with the latest twists and turns of global markets and macroeconomic news and views from our global market strategists and investment teams.
With policy uncertainty rattling markets and consumer sentiment, it’s important to remember the market's long-term growth throughout its history.
Welcome to Applied philosophy, our view on global equity market model sector allocation.
There are signs of softening global growth prospects and rising economic policy uncertainty, plus a tectonic shift in fiscal stimulus around the globe.
Welcome to Uncommon Truths, Paul Jackson and Andras Vig’s regular in-depth look at the big topics impacting markets.
Paul Jackson, Global Head of Asset Allocation Research for EMEA, discusses his insights on portfolio allocations and strategies for the Q2 2025 outlook.
I’m hoping not to find signs of a wilting economy, but recessions have historically been caused by policy mistakes, so it’s important to be vigilant.
Rhys Davies explains why the world's bond markets, significantly larger than equities, are becoming exciting again. He explores the case for high-yield bonds in a falling interest rate environment.
European nations prepare to invest in defense and infrastructure, while the US faces the possibility of recession brought on by government spending cuts.
Welcome to our Tactical Asset Allocation hub. Here you’ll find a selection of the most recent research from Invesco Solutions. Read our latest analysis that covers market strategy and opportunities across various asset classes.
Bond markets generally performed well in February, although there were varying outcomes across different regions. Read our latest thoughts on how fixed income markets fared during the month and what we think you should be looking out for in the near term.
Join David Aujla, portfolio manager as he provides a monthly recap of the financial markets. Looking at market trends political developments, the macroeconomic landscape and the impact it has a market volatility stay ahead with expert commentary.
In our monthly market roundup for February, Invesco experts give a rundown of a mixed month for global equity markets, as well as an update on fixed income markets.
Discover current insights from Invesco's latest fixed income webinar. Read our 9 key takeaways and watch the full replay for expert perspectives on the opportunities and challenges in bonds in 2025.
The US economy appears to be slowing quickly as consumers brace for tariffs, higher prices, and a possible government shutdown.
In our regularly updated macroeconomic analysis we offer an outlook for interest rates and currencies – and look at which fixed income assets are favoured across a range of market environments.
BA degree, MBA
BA from Princeton University and PhD from London School of Economics
BSc in Economics from the London School of Economics and a Master of Philosophy in Economics from Oxford