Outlook 2024: Asia Pacific – A two-way pull for stock markets?

globe image earth

What can we expect from Asia Pacific (ex Japan) equity markets in 2024? Jason Pidcock and Sam Konrad give their views and discuss where they’re finding opportunities.

Outlook 2024: Is the global economy on borrowed time?

Broken glass

Signs of fragility are emerging in the global economy, particularly developed countries, which could prompt central banks to be less hawkish, say Ariel Bezalel and Harry Richards.

Gold Outlook: A Looming Paradigm Shift in Monetary Risk-Free Assets

Outlook

Ned Naylor-Leyland explains how amidst a global shift away from fiat currencies, gold is poised to re-emerge as the ultimate risk-free asset, signaling a paradigm shift in monetary risk perception.

Japanese Equities: Is a Growth vs Value shift coming?

Japanese flag and chart

Dan Carter and Mitesh Patel describe the ‘growth vs value’ situation in Japanese equities, and ask whether a shift in momentum is around the corner.

CoCos: Hanging tough

Contingent Capital (CoCos) trends

Luca Evangelisti shares his views on the fallout from the collapse of the 3 US Regional Banks and Credit Suisse and identifies the opportunities he sees within the asset class.

Macro view: hard landing ahead?

Financial data

Ariel Bezalel and Harry Richards, investment managers of the Jupiter Strategic Bond strategy, outline their macro thesis and current view of markets.

Global industry flows: a new enhancement to our systematic investment process

Yuangao Liu and Amadeo Alentorn

Yuangao Liu and Amadeo Alentorn describe a new enhancement the Jupiter systematic team has developed and introduced into its investment process.

Building resilient portfolios in European small caps

Sea Shell

Phil Macartney discusses finding high-quality, well-capitalised growth businesses among European smaller companies.

Emerging market debt: on the road in Indonesia

Night view of Jakarta, Indonesia

Xuchen Zhang discusses his key takeaways from a recent research trip to Indonesia to assess the opportunities for emerging market debt investors.

Active fund management’s edge in mining

Nuggets

Chris Mahoney, investment manager, discusses the key role active managers have in the mining sector by providing equity financing for select listed exploration companies.