Three high-profile bank failures in two months have prompted investors to scrutinise the robustness of the overall US banking sector. As other banks make the headlines, there might still be stress ahead – and we identify five factors to monitor in the months ahead, including a heightened risk of digital bank runs.

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The potential for attractive returns, strong economic growth prospects and selectively cheap valuations may boost the appeal of emerging-market debt. With lower inflationary pressures than developed markets, now may be the time to take a closer look at the asset class.

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Potentially improved yields and the prospect of peaking interest rates are boosting the appeal of bonds. While the near-term outlook is unpredictable – as the path of inflation and growth remains uncertain – we’ve identified four themes that may help investors build bond allocations and navigate volatile markets.

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