Has the outlook changed for emerging markets?

Has the outlook changed for emerging markets?

Is it a good time to increase your EM exposure? Nick Payne and Oliver Lee discuss where they’re finding the best opportunities, and the countries and sectors they avoid.

Notes from the Investment Floor: Inflation is a political problem

American flag balloons to represent Notes from the Investment Floor Inflation is a political problem

Huw Davies discusses the driving forces behind central bank policy action, as central banks appear to target lower inflation over stimulating growth.

How to prepare for the next growth shock

Open doorway for how to prepare for the next growth shock insight by ariel bezalel and harry richards

2022 has been difficult for markets: rate volatility, losses in government bonds and high-quality credit. What’s next? Ariel Bezalel and Harry Richards share their views.

A systematic approach to value investing

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James Murray, Senior Analyst, and Amadeo Alentorn, Head of Systematic Equities, tease out some of the subtleties involved in value investing, and explain why this is important to investors.

Japan feels the economic impact of war in Europe

Japan feels the economic impact of war in Europe

Direct exposure to Russia and Ukraine among Japanese companies is low, but the second order global effects of the war are far-reaching. Dan Carter and Mitesh Patel give their view.

Notes from the Investment Floor: Russia – the facts have changed

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Ross Teverson reflects on the tragic events in Ukraine and the implications that sanctions and counter-sanctions have for emerging market investors.

The infinite potential of digitalisation

The infinite potential of digitalisation

Mark Heslop and Phil Macartney discuss the issues around digitalisation — the opportunities and challenges, and potential benefits for consumers, companies and investors.

Why geopolitics is turning eyes towards gold

Why geopolitics is turning eyes towards gold insight

Ned Naylor-Leyland, manager of the Jupiter Gold & Silver Fund, assesses prospects for monetary metals in the light of current geopolitics and macroeconomics.

The new era of inflation, tightening and reduced liquidity

The new era of inflation, tightening and reduced liquidity

Mark Nash discusses how the outlook for risk assets has changed in a period where central banks are raising rates and reducing liquidity in a bid to control inflation.

The journey to net zero: how we analyse bond issuers’ carbon footprints

The journey to net zero how we analyse bond issuers’ carbon footprints

Harry Richards, Fund Manager, Fixed Income, and Anna Karim, Fixed Income ESG Director, share how their team analyses companies supporting the transition to net zero.