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This Quarter (Q4 2024) Hide

6 November 2024 / In the Loop

What Trump’s win means for policy, the economy, and markets

What Trump’s win means for policy, the economy, and markets

What Trump’s win means for policy, the economy,...

Extending tax cuts and an assertive approach on trade policy likely to be areas of...

By Gilad Fortgang, Blerina Uruçi & Timothy C. Murray

By Gilad Fortgang, Blerina Uruçi & Timothy C. Murray

Global impact multi-asset: Constructing a one-stop portfolio solution

Global impact multi-asset: Constructing a one-stop portfolio solution

Global impact multi-asset: Constructing a...

Uniquely integrating impact considerations with financial performance

By Yoram Lustig, Eva Wu & Fatna Chelihi

By Yoram Lustig, Eva Wu & Fatna Chelihi

28 October 2024 / In the Loop

Three policy developments to watch after US election

Three policy developments to watch after U.S. election

Three policy developments to watch after...

The postelection shift from campaigning to governing can create uncertainty for markets.

By Gilad Fortgang

Gilad Fortgang Washington Associate Analyst, U.S. Equity Division of T. Rowe Price Investment Management, Inc.

October 2024 / From the Field

Could a 5% 10-year Treasury yield be around the corner?

Ahead of the Curve: Could a 5% 10-year Treasury yield be around the corner?

Ahead of the Curve: Could a 5% 10-year Treasury...

Higher Treasury yields expected due to fiscal spending and Fed quantitative tightening.

By Arif Husain

Arif Husain Head of Fixed Income and Chief Investment Officer, Fixed Income

October 2024 / From the Field

The Fed’s big cut may favor high yield bonds

The Fed’s big cut may favor high yield bonds

The Fed’s big cut may favor high yield bonds

The Fed’s September rate cut reduced the risk of a recession. High yield bonds may...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist Multi‑Asset Division

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

14 October 2024 / From the Field

Key considerations for global equities beyond the U.S. election

Key considerations for global equities beyond the U.S. election

Key considerations for global equities beyond...

Powerful factors provide a relatively positive backdrop for equity markets in 2025.

By David J. Eiswert

David J. Eiswert Portfolio Manager, Global Focused Growth Equity Strategy

October 2024 / From the Field

Friendshoring is reconfiguring global trade

Friendshoring is reconfiguring global trade

Friendshoring is reconfiguring global trade

Opportunities arise for the West’s allies to plug supply deficits.

By Roy Adkins, Ivan Morozov & Elliot Shue

By Roy Adkins, Ivan Morozov & Elliot Shue

October 2024 / In the Loop

US Election: What's at stake for M&A and antitrust policy?

U.S. Election: What's at stake for M&A and antitrust policy?

U.S. Election: What's at stake for M&A and...

Next president to decide if tough antitrust policy continues.

By Gilad Fortgang

Gilad Fortgang Washington Associate Analyst, U.S. Equity Division of T. Rowe Price Investment Management, Inc.

Inflation, Energy and Market Volatility - Perspectives on Global Equiti...

Inflation, Energy and Market Volatility - Perspectives on Global Equities

Inflation, Energy and Market Volatility -...

What’s in store for global equities? David Eiswert discusses interest rates, energy...

By David J. Eiswert

David J. Eiswert Portfolio Manager

August 2024 / From the Field

Could GLP-1s help rebalance the food trilemma?

Could GLP-1s help rebalance the food trilemma?

Could GLP-1s help rebalance the food trilemma?

Anti-obesity medications could play a key role in balancing the food trilemma.

By Maria Elena Drew & Daniel Ryan

By Maria Elena Drew & Daniel Ryan

Previous Quarter (Q3 2024) Hide

October 2024 / From the Field

Cutting cycles and learning to love bonds again

Cutting cycles and learning to love bonds again

Cutting cycles and learning to love bonds...

History provides some clues about which asset classes are likely to outperform

By Sébastien Page

Sébastien Page CIO and Head of Global Multi-Asset

September 2024 / From the Field

Three key themes to watch out for in emerging markets

Three key themes to watch out for in emerging markets

Three key themes to watch out for in emerging...

Economic growth resiliency to be tested, while new countries could start cutting...

By Christopher J. Kushlis

Christopher J. Kushlis Chief Emerging Markets Macro Strategist

September 2024 / From the Field

Are we partying like it’s 1999 again?

Are we partying like it's 1999 again?

Are we partying like it's 1999 again?

AI versus Dotcom: There are some similarities, yet also key differences.

By Rahul Ghosh

Rahul Ghosh Portfolio Specialist, Global Equities

September 2024 / From the Field

AI and fixed income: Booming demand for data center ABS and CMBS

AI and fixed income: Booming demand for data center ABS and CMBS

AI and fixed income: Booming demand for data...

Artificial intelligence drives demand for data center ABS and CMBS investments.

By David Xu & Adam Haya

By David Xu & Adam Haya

September 2024 / From the Field

How AI’s impact is reaching into areas that might surprise you

How AI’s impact is reaching into areas that might surprise you

How AI’s impact is reaching into areas that...

Discover how rising AI energy demands are reshaping independent power producer credit...

By David Yatzeck

David Yatzeck Associate Portfolio Manager, High Yield

September 2024 / From the Field

How healthy is the US labour market?

How healthy is the U.S. labor market?

How healthy is the U.S. labor market?

The Federal Reserve appears ready to cut rates. Job growth will be key for how stocks...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist Multi-Asset Division

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

September 2024 / INVESTMENT INSIGHTS

How the US election could impact the financials sector

How the US election could impact the financials sector

How the US election could impact the financials...

Next president will determine whether financial regulators will mount up or stand...

By Gilad Fortgang

Gilad Fortgang Associate Analyst

How euro corporate bonds offer stability in volatile markets

How euro corporate bonds offer stability in volatile markets

How euro corporate bonds offer stability...

The balance of stability and income potential supports the case for the asset class

By David Stanley

David Stanley Portfolio Manager

6 September 2024 / In the Spotlight

The power of additionality: Blue bonds could boost sustainability

The power of additionality: Blue bonds could boost sustainability

The power of additionality: Blue bonds could...

Blue bonds could boost sustainability efforts in emerging markets

By Willem Visser & Tongai Kunorubwe

By Willem Visser & Tongai Kunorubwe

The Psychology of Leadership in Investment Management

The Psychology of Leadership in Investment Management

The Psychology of Leadership in Investment...

Five ways to become an effective leader in money management

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

July 2024 / From the Field

Higher rates and rising capex support international value stocks

Higher rates and rising capex support international value stocks

Higher rates and rising capex support internationa...

The post-global financial crisis headwinds of low rates and tepid growth have faded.

By Colin McQueen

Colin McQueen Portfolio Manager, International Equity

30 August 2024 / From the Field

San Andreas fault of finance shakes the markets

Ahead of the Curve: The San Andreas fault of finance shakes the markets

Ahead of the Curve: The San Andreas fault...

Monetary tightening in Japan is rearranging global capital flows.

By Arif Husain

Arif Husain Head of Fixed Income and Chief Investment Officer, Fixed Income

August 2024 / From the Field

Will government debt boil the frog?

Will government debt boil the frog?

Will government debt boil the frog?

How much should investors worry about the ballooning U.S. government debt?

By Sébastien Page

Sébastien Page CIO and Head of Global Multi-Asset

August 2024 / From the Field

Growing government debt has raised concerns. Should it?

Growing government debt has raised concerns. Should it?

Growing government debt has raised concerns....

We believe governments have time and options to address historically high debt-to-gross...

By Thomas Kasanin & Ivan Morozov

By Thomas Kasanin & Ivan Morozov

August 2024 / INVESTMENT INSIGHTS

Assessing the potential impacts on US health care in an election year

Assessing the potential impacts on US health care in an election year

Assessing the potential impacts on US health...

A number of key US health care issues will continue to be a primary focus for the...

By Jill Jortner

Jill Jortner Investment Analyst

August 2024 / From the Field

Why passive flows and inelastic markets don’t mix

Why passive flows and inelastic markets don't mix

Why passive flows and inelastic markets don't...

The rise of passive fixed income investing has caused market structure to deteriorate

By Steve Boothe & Pranay Subedi

By Steve Boothe & Pranay Subedi

August 2024 / POLICY INSIGHTS

Policy matters: US election could impact renewables and electric vehicl...

Policy matters: US election could impact renewables and electric vehicles

Policy matters: US election could impact...

The outcome of the presidential election could have important implications for US...

By Gilad Fortgang

Gilad Fortgang Associate Analyst

August 2024 / INVESTMENT INSIGHTS

Why US fiscal policy will matter even more after the election

Why US fiscal policy will matter even more after the election

Why US fiscal policy will matter even more...

The next US president faces a significant fiscal cliff in his first 12 months in...

By Gilad Fortgang

Gilad Fortgang Associate Analyst

August 2024 / INVESTMENT INSIGHTS

How do US elections affect stock market performance?

How do US elections affect stock market performance?

How do US elections affect stock market performanc...

It’s the economy that matters for US presidential elections and stocks

By Thomas Poullaouec

Thomas Poullaouec Head of Multi-Asset Solutions APAC

July 2024 / INVESTMENT INSIGHTS

Artificial intelligence, health care, and energy transition: Three area...

Artificial intelligence, health care, and energy transition: Three areas...

Artificial intelligence, health care, and...

How innovations in artificial intelligence, health care, and the energy transition...

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

July 2024 / POLICY INSIGHTS

Why balance is important amid equity market volatility

Why balance is important amid equity market volatility

Why balance is important amid equity market...

Geopolitics, sticky inflation, and peaking earnings growth point to elevated volatility

By David J. Eiswert & Nabil Hanano

By David J. Eiswert & Nabil Hanano

July 2024 / INVESTMENT INSIGHTS

M&A revival means management quality matters even more

M&A revival means management quality matters even more

M&A revival means management quality matters...

The M&A recovery creates opportunities, especially in mid-cap stocks

By Dante Pearson

Dante Pearson Associate Portfolio Manager

July 2024 / POLICY INSIGHTS

Are GLP-1s the next industry disruptor?

Are GLP-1s the next industry disruptor?

Are GLP-1s the next industry disruptor?

Some are predicting that GLP-1s could pose a disruptive threat to the medtech industry,...

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager

July 2024 / VIDEO

The Inflation Roller Coaster

The Inflation Roller Coaster

The Inflation Roller Coaster

Diverging trends in goods and services prices complicate the inflation outlook

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

July 2024 / VIDEO

Two questions on US equities with…Matt Mahon

Two questions on US equities with…Matt Mahon

Two questions on US equities with…Matt Mahon

Portfolio Manager Matt Mahon discusses his outlook and expectations for US smaller...

By Matt Mahon

Matt Mahon Co-Portfolio Manager

July 2024 / VIDEO

Two questions on US equities with…Gabe Solomon

Two questions on US equities with…Gabe Solomon

Two questions on US equities with…Gabe Solomon

Portfolio Manager Gabe Solomon discusses his outlook for US large-cap value equities

By Gabriel Solomon

Gabriel Solomon Co-Portfolio Manager

July 2024 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

July 2024 / INVESTMENT INSIGHTS

Active investing is suited to the uncertain markets ahead

Active investing is suited to the uncertain markets ahead

Active investing is suited to the uncertain...

Changing market conditions will provide new risks and opportunities

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

July 2024 / INVESTMENT INSIGHTS

Ahead of the Curve “Shadow banking system” creates a trickier path for...

Ahead of the Curve “Shadow banking system” creates a trickier path for...

Ahead of the Curve “Shadow banking system”...

Rise in nonbank lending drives banks to shift risk exposure

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

July 2024 / INVESTMENT INSIGHTS

The future of portfolio construction: Building effective multi-asset...

The future of portfolio construction: Building effective multi-asset portfolios

The future of portfolio construction: Building...

The traditional equity and fixed income ‘balanced’ portfolio needs modernisation,...

By Yoram Lustig, Michael Walsh & Eva Wu

By Yoram Lustig, Michael Walsh & Eva Wu

July 2024 / INVESTMENT INSIGHTS

Market concentration: Facts versus opinions

Market concentration: Facts versus opinions

Market concentration: Facts versus opinions

Market concentration in US and technology stocks a concern for clients

By Rahul Ghosh

Rahul Ghosh Portfolio Specialist

July 2024 / INVESTMENT INSIGHTS

UK election result - Three key economic policy areas to watch

UK election result - Three key economic policy areas to watch

UK election result - Three key economic policy...

Labour Party win paves the way for policy changes with potential macroeconomic implication...

July 2024 / INVESTMENT INSIGHTS

The hottest debate in asset allocation: Value vs. growth stocks

The hottest debate in asset allocation: Value vs. growth stocks

The hottest debate in asset allocation: Value...

On the Asset Allocation Committee, we like value stocks as a tactical trade for the...

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

Manic market not a reason for investors to panic

Manic market not a reason for investors to panic

Manic market not a reason for investors to...

Recent market volatility appears to reflect extreme risk-on sentiment and positioning

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

August 2024 / On the Horizon

Is now the time to consider an allocation to government bonds

Is now the time to consider an allocation to government bonds?

Is now the time to consider an allocation...

Attractive yields and expected return of diversification benefits are supportive

By Amanda Stitt

Amanda Stitt Portfolio Specialist

Perspectives on securitised credit

Perspectives on securitised credit

Perspectives on securitised credit

Although the rally lost some momentum in Q2, securitized credit markets still performed...

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

Strategy Focus on Global Impact Short Duration Bond

Strategy Focus on Global Impact Short Duration Bond

Strategy Focus on Global Impact Short Duration...

An actively managed strategy seeking to invest in durable, growing businesses with...

By Matthew Lawton

Matthew Lawton Portfolio Manager

10 July 2024 / From the Field

Higher rates and rising capex support international value stocks

Higher rates and rising capex support international value stocks

Higher rates and rising capex support internationa...

The post-global financial crisis headwinds of low rates and tepid growth have faded.

By Colin McQueen

Colin McQueen Portfolio Manager, International Equity

Q2 2024  Show

June 2024 / INVESTMENT INSIGHTS

China’s economy enters a new cycle—unveiling fresh opportunities

China’s economy enters a new cycle—unveiling fresh opportunities

China’s economy enters a new cycle—unveiling...

China’s economy has undergone a deep structural adjustment

By Wenli Zheng

Wenli Zheng Portfolio Manager, China Evolution Equity Strategy

June 2024 / INVESTMENT INSIGHTS

How an investment strategy can blend the best of active and passive

How an investment strategy can blend the best of active and passive

How an investment strategy can blend the...

A research-enhanced strategy can help clients get more from their portfolio’s core

By Tamzin Manning

Tamzin Manning Portfolio Specialist

June 2024 / INVESTMENT INSIGHTS

Assessing the potential impacts on US health care in an election year

Assessing the potential impacts on US health care in an election year

Assessing the potential impacts on US health...

A number of key US health care issues will continue to be a primary focus for the...

By Jill Jortner

Jill Jortner Investment Analyst

June 2024 / INVESTMENT INSIGHTS

Credit investing for today’s evolving markets

Credit investing for today’s evolving markets

Credit investing for today’s evolving markets

Headwinds call for choosing credit solutions with rigorous research

By Kenneth A. Orchard

Kenneth A. Orchard Head of International Fixed Income

June 2024 / INVESTMENT INSIGHTS

The value of a multi-sector diversified income approach for fixed incom...

The value of a multi-sector diversified income approach for fixed income

The value of a multi-sector diversified income...

Diversified Income Bond Strategy seeks to provide high yield-like returns with investment-...

By Kenneth A. Orchard & Vincent Chung

By Kenneth A. Orchard & Vincent Chung

June 2024 / MIDYEAR MARKET OUTLOOK

How central bank policy could impact your portfolio

How central bank policy could impact your portfolio

How central bank policy could impact your...

The key factors shaping the path of rate cuts in the second half of 2024

By Multiple Authors

By Multiple Authors

June 2024 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

June 2024 / INVESTMENT INSIGHTS

Why US fiscal policy will matter even more after the election

Why US fiscal policy will matter even more after the election

Why US fiscal policy will matter even more...

The next US president faces a significant fiscal cliff in his first 12 months in...

By Gilad Fortgang

Gilad Fortgang Associate Analyst

May 2024 / INVESTMENT INSIGHTS

The benefits of hedged diversification

The benefits of hedged diversification

The benefits of hedged diversification

Non-US bonds currently offer higher yields on a currency-hedged basis

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

May 2024 / INVESTMENT INSIGHTS

The quality factor: Its impact, foundation, and evolution

The quality factor: Its impact, foundation, and evolution

The quality factor: Its impact, foundation,...

Secular components have become an important part of quality investing

By Laurence Taylor

Laurence Taylor Equity Solutions Portfolio Manager

May 2024 / INVESTMENT INSIGHTS

What factors are driving U.S. exceptionalism, and will they last?

What factors are driving U.S. exceptionalism, and will they last?

What factors are driving U.S. exceptionalism,...

US economic growth has outperformed other developed markets, and inflation has been...

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

May 2024 / INVESTMENT INSIGHTS

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Perspectives on Securitised Credit

The securitised credit rally that began in late 2023 accelerated in early 2024 despite...

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

May 2024 / INVESTMENT INSIGHTS

Opportunities in fixed income for investors moving out of cash

Opportunities in fixed income for investors moving out of cash

Opportunities in fixed income for investors...

Income and growth attributes can help investors put cash to work

By Kenneth A. Orchard

Kenneth A. Orchard Head of International Fixed Income

May 2024 / INVESTMENT INSIGHTS

Euro Corporate Bond Q&A with David Stanley

Euro Corporate Bond Q&A with David Stanley

Euro Corporate Bond Q&A with David Stanley

Euro Corporate Bond Fund Veteran David Stanley Reflects on 20 Years at the Helm

By David Stanley

David Stanley Portfolio Manager

May 2024 / INVESTMENT INSIGHTS

Let’s get real (about interest rates)

Let’s get real (about interest rates)

Let’s get real (about interest rates)

Higher real rates in the coming years might favor value stocks

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

May 2024 / INVESTMENT INSIGHTS

Momentum: Don’t fear the reapers (of high profit)

Momentum: Don’t fear the reapers (of high profit)

Momentum: Don’t fear the reapers (of high...

History shows that momentum-driven markets don’t necessarily lead to market downturns

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

May 2024 / VIDEO

The benefits of hedged diversification

The benefits of hedged diversification

The benefits of hedged diversification

Non-US bonds currently offer higher yields on a currency-hedged basis

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

May 2024 / VIDEO

Where are we in the AI cycle?

Where are we in the AI cycle?

Where are we in the AI cycle?

Navigating the AI cycle and the reasons why Dom Rizzo thinks we remain relatively...

By Dominic Rizzo

Dominic Rizzo Portfolio Manager

May 2024 / INVESTMENT INSIGHTS

How do US elections affect stock market performance?

How do US elections affect stock market performance?

How do US elections affect stock market performanc...

It’s the economy that matters for US presidential elections and stocks

By Thomas Poullaouec

Thomas Poullaouec Head of Multi-Asset Solutions APAC

No green without blue: How blue bonds could support climate goals

No green without blue: How blue bonds could support climate goals

No green without blue: How blue bonds could...

Earth’s oceans capture the majority of the global CO2 produced by humans

By Tongai Kunorubwe & Willem Visser

By Tongai Kunorubwe & Willem Visser

May 2024 / VIDEO

What are your key takeaways from recent investment trips?

What are your key takeaways from recent investment trips?

What are your key takeaways from recent investment...

Three key conclusions after meeting more than 50 different technology companies across...

By Dominic Rizzo

Dominic Rizzo Portfolio Manager

May 2024 / INVESTMENT INSIGHTS

Hedging inflation risk

Hedging inflation risk

Hedging inflation risk

Recession fears are fading, but inflation concerns are on the rise

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist Multi-Asset Division

April 2024 / INVESTMENT INSIGHTS

Are UK stocks too cheap to ignore

Are UK stocks too cheap to ignore

Are UK stocks too cheap to ignore

Improving fundamentals are not yet reflected in prices

By Tomasz Wieladek & Federico Santilli

By Tomasz Wieladek & Federico Santilli

April 2024 / INVESTMENT INSIGHTS

For or against? The year in shareholder resolutions—2023

For or against? The year in shareholder resolutions—2023

For or against? The year in shareholder resolution...

With environmental and social proposals in the spotlight, case‑by‑case insights were...

By Donna Anderson & Jocelyn Brown

By Donna Anderson & Jocelyn Brown

April 2024 / VIDEO

Hedging inflation risk

Hedging inflation risk

Hedging inflation risk

Recession fears are fading, but inflation concerns are on the rise

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist Multi-Asset Division

April 2024 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

April 2024 / INVESTMENT INSIGHTS

Meet the Manager - Peter Bates

Meet the Manager - Peter Bates

Meet the Manager - Peter Bates

Global Select Equity Strategy Portfolio Manager Peter Bates discusses his background...

By Peter J. Bates

Peter J. Bates Portfolio Manager

April 2024 / INVESTMENT INSIGHTS

With rising headwinds, uncover the power of quality credit research

With rising headwinds, uncover the power of quality credit research

With rising headwinds, uncover the power...

Corporate bonds offer attractive income, but security selection is imperative amid...

By Justin Gerbereux

Justin Gerbereux Head of Global Fixed Income Research

April 2024 / INVESTMENT INSIGHTS

Vietnam: Asia’s next frontier Tiger

Vietnam: Asia’s next frontier Tiger

Vietnam: Asia’s next frontier Tiger

Tailwinds are gathering to support another major leap

By Johannes Loefstrand & Eric L. Veiel

By Johannes Loefstrand & Eric L. Veiel

April 2024 / INVESTMENT INSIGHTS

The US economy has defied recessionary fears. What now?

The US economy has defied recessionary fears. What now?

The US economy has defied recessionary fears....

An economic “soft landing” is undoubtedly positive, but there are reasons to be cautious

By Justin P. White

Justin P. White Portfolio Manager, T. Rowe Price All‑Cap Opportunities Strategy

Q1 2024  Show

March 2024 / INVESTMENT INSIGHTS

Dynamic credit investing: A Q&A With Saurabh Sud

Dynamic credit investing: A Q&A With Saurabh Sud

Dynamic credit investing: A Q&A With Saurabh...

Dynamic Credit’s flexible approach has been pivotal over different market conditions

By Saurabh Sud

Saurabh Sud Portfolio Manager

March 2024 / INVESTMENT INSIGHTS

China’s National People’s Congress: Key points

China’s National People’s Congress: Key points

China’s National People’s Congress: Key points

NPC announcements in line with expectations

By Robert Secker

Robert Secker Portfolio Specialist

March 2024 / INVESTMENT INSIGHTS

The Case for Value

The Case for Value

The Case for Value

Reasonable valuations could provide an upside surprise

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

March 2024 / INVESTMENT INSIGHTS

Three reasons European corporate bonds remain attractive

Three reasons European corporate bonds remain attractive

Three reasons European corporate bonds remain...

The European corporate bond market benefits from high all-in yields and positive...

By David Stanley

David Stanley Portfolio Manager

March 2024 / VIDEO

Global equity update with David Eiswert

Global equity update with David Eiswert

Global equity update with David Eiswert

David Eiswert recently travelled to Asia with others on our investment team to meet...

By David J. Eiswert

David J. Eiswert Portfolio Manager

March 2024 / INVESTMENT INSIGHTS

A Decade-Long Adventure Navigating Treacherous Markets Successfully

A Decade-Long Adventure Navigating Treacherous Markets Successfully

A Decade-Long Adventure Navigating Treacherous...

The Dynamic Global Bond Strategy celebrates its 10-year anniversary this month since...

By Scott Solomon

Scott Solomon Portfolio Manager

March 2024 / INVESTMENT INSIGHTS

Investment implications of generative artificial intelligence

Investment implications of generative artificial intelligence

Investment implications of generative artificial...

Reasons why investors should embrace AI as a long-term investment theme

By Rahul Ghosh

Rahul Ghosh Portfolio Specialist

March 2024 / ASSET ALLOCATION

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

March 2024 / INVESTMENT INSIGHTS

The case for value

The case for value

The case for value

Reasonable valuations could provide an upside surprise

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

March 2024 / INVESTMENT INSIGHTS

How impact credit’s financial and sustainability aims go hand in hand

How impact credit’s financial and sustainability aims go hand in hand

How impact credit’s financial and sustainability...

Fundamentals and return potential are as important as impact to an investment case

By Matthew Lawton & Ellen O'Doherty

By Matthew Lawton & Ellen O'Doherty

March 2024 / INVESTMENT INSIGHTS

Emerging markets poised for a year of interest rate cuts

Emerging markets poised for a year of interest rate cuts

Emerging markets poised for a year of interest...

Inflation continues to fall, paving the way for more interest rate cuts from emerging...

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

March 2024 / VIDEO

Three key themes in emerging markets for 2024

Three key themes in emerging markets for 2024

Three key themes in emerging markets for...

Emerging markets are poised for a year of interest rate cuts in 2024

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

March 2024 / VIDEO

Global Equities: Our View on Industrials

Global Equities: Our View on Industrials

Global Equities: Our View on Industrials

What we learned from recent meetings with global multi-industrial companies

By Nabil Hanano

Nabil Hanano Associate Portfolio Manager

March 2024 / INVESTMENT INSIGHTS

Conditions are ripe for a Goldilocks economy, but dangers lurk

Conditions are ripe for a Goldilocks economy, but dangers lurk

Conditions are ripe for a Goldilocks economy,...

Conditions are ripe for a moderate growth recovery, but political risks pose a threat

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

February 2024 / INVESTMENT INSIGHTS

Will new long-term debt holders effectively discipline banks?

Will new long-term debt holders effectively discipline banks?

Will new long-term debt holders effectively...

New US regional bank debt can lower the odds of a default and help reduce the cost...

By Steve Booth & Pranay Subedi

By Steve Booth & Pranay Subedi

February 2024 / INVESTMENT INSIGHTS

New diabetes and obesity drugs show promise for patients and investors

New diabetes and obesity drugs show promise for patients and investors

New diabetes and obesity drugs show promise...

GLP-1 treatments are poised to reshape the health care sector

By Nabil Hanano & Jeffrey Holford

By Nabil Hanano & Jeffrey Holford

February 2024 / VIDEO

The Fed Has Pivoted. What’s Next?

The Fed Has Pivoted. What’s Next?

The Fed Has Pivoted. What’s Next?

With cooling expectations, investors wonder when and how far US rates will fall in...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

February 2024 / INVESTMENT INSIGHTS

Corporate bonds—A compelling long-term income profile

Corporate bonds—A compelling long-term income profile

Corporate bonds—A compelling long-term income...

Fundamental research is imperative in credit markets as headwinds rise

By Saurabh Sud

Saurabh Sud Portfolio Manager

February 2024 / INVESTMENT INSIGHTS

Meet David Rowlett, Portfolio Manager, US Impact Equity Strategy

Meet David Rowlett, Portfolio Manager, US Impact Equity Strategy

Meet David Rowlett, Portfolio Manager, US...

The portfolio manager shares his experiences and thoughts.

By David L. Rowlett

David L. Rowlett Portfolio Manager

February 2024 / INVESTMENT INSIGHTS

Central bank rate-cut pricing is eye-catching but deceiving

Central bank rate-cut pricing is eye-catching but deceiving

Central bank rate-cut pricing is eye-catching...

By Arif Husain

Arif Husain Head of Fixed Income and Chief Investment Officer, Fixed Income

February 2024 / INVESTMENT INSIGHTS

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Fourth Quarter 2023

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

February 2024 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

February 2024 / INVESTMENT INSIGHTS

Macro-implied earnings

Macro-implied earnings

Macro-implied earnings

A simple model can explain how earnings will respond to changes in the health of...

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

February 2024 / INVESTMENT INSIGHTS

Is the market broadening?

Is the market broadening?

Is the market broadening?

Will small-caps eventually “show up” for investors?

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

February 2024 / INVESTMENT INSIGHTS

How could energy productivity cycles lead to credit opportunities

How could energy productivity cycles lead to credit opportunities

How could energy productivity cycles lead...

Why we believe the energy productivity cycle is turning and the opportunities this...

By Steve Booth & Elliot Shue

By Steve Booth & Elliot Shue

February 2024 / VIDEO

Case Study: The Plastic Waste Reduction-Linked Bond

Case Study: The Plastic Waste Reduction-Linked Bond

Case Study: The Plastic Waste Reduction-Linked...

A discussion with Tongai Kunorubwe, Head of ESG, Fixed Income on an innovative bond...

By Tongai Kunorubwe

Tongai Kunorubwe Head of ESG, Fixed Income

February 2024 / INVESTMENT INSIGHTS

Putting cash to work in 2024

Putting cash to work in 2024

Putting cash to work in 2024

We explore three possible scenarios as US interest rates peak

By Christina Noonan, Som Priestley & Douglas Spratley

By Christina Noonan, Som Priestley & Douglas Spratley

January 2024 / INVESTMENT INSIGHTS

Attractive yields but narrow spreads: The credit dilemma

Attractive yields but narrow spreads: The credit dilemma

Attractive yields but narrow spreads: The...

From the Field

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

January 2024 / INVESTMENT INSIGHTS

Investing in China means embracing discomfort

Investing in China means embracing discomfort

Investing in China means embracing discomfort

Sentiment toward China is weak, but opportunities exist for investors who seek them

By Justin Thomson

Justin Thomson Head of International Equity and CIO

January 2024 / VIDEO

Video: Three important insights from 2023

Video: Three important insights from 2023

Video: Three important insights from 2023

A focus on bond yields, the Magnificent 7, and the Fed pivot

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi-Asset Division

January 2024 / INVESTMENT INSIGHTS

Is Now the Time to Redeploy Cash?

Is Now the Time to Redeploy Cash?

Is Now the Time to Redeploy Cash?

Historical performance of federal funds interest rate cycle peaks could help investors...

By Terry Davis & Andrew Wick

By Terry Davis & Andrew Wick

January 2024 / INVESTMENT INSIGHTS

The active advantage in high yield

The active advantage in high yield

The active advantage in high yield

Active approach allows security selection and strategic positioning

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

January 2024 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

January 2024 / INVESTMENT INSIGHTS

Three important insights from 2023

Three important insights from 2023

Three important insights from 2023

A focus on bond yields, the Magnificent 7, and the Fed pivot

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi-Asset Division

January 2024 / MARKETS & ECONOMY

US small-cap stocks look like a potentially big opportunity

US small-cap stocks look like a potentially big opportunity

US small-cap stocks look like a potentially...

Six key factors point to an encouraging outlook for US smaller companies

By Curt J. Organt & Matt Mahon

By Curt J. Organt & Matt Mahon

January 2024 / MARKETS & ECONOMY

How dynamic credit can mitigate downside risk

How dynamic credit can mitigate downside risk

How dynamic credit can mitigate downside...

Six key factors point to an encouraging outlook for US smaller companies

By Wyatt Lee & Saurabh Sud

By Wyatt Lee & Saurabh Sud

Q3   Show

September 2023 / INVESTMENT INSIGHTS

Using Artificial Intelligence to Enhance Our Investment Processes

Using Artificial Intelligence to Enhance Our Investment Processes

Using Artificial Intelligence to Enhance...

Driving deliberate innovation with artificial intelligence tools to boost human decision-m...

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

September 2023 / INVESTMENT INSIGHTS

Emerging Markets—Dancing to Their Own Beat

Emerging Markets—Dancing to Their Own Beat

Emerging Markets—Dancing to Their Own Beat

Central banks set to kick off easing cycles as inflation cools

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

September 2023 / INVESTMENT INSIGHTS

A Surprising Rise in US Treasury Yields

A Surprising Rise in US Treasury Yields

A Surprising Rise in US Treasury Yields

Rate volatility is likely to persist as Fed pursues 2% inflation target

By Christina Noonan

Christina Noonan Associate Portfolio Manager

September 2023 / INVESTMENT INSIGHTS

Why the “High for Longer” Narrative Is Flawed

Why the “High for Longer” Narrative Is Flawed

Why the “High for Longer” Narrative Is Flawed

Central banks will likely ease sooner than expected

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

September 2023 / INVESTMENT INSIGHTS

The Case for a Strategic Allocation to High Yield Bonds

The Case for a Strategic Allocation to High Yield Bonds

The Case for a Strategic Allocation to High...

Hybrid characteristics provide attractive risk/reward profile

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

September 2023 / INVESTMENT INSIGHTS

Emerging Markets Bond Investing: A Q&A With Samy Muaddi

Emerging Markets Bond Investing: A Q&A With Samy Muaddi

Emerging Markets Bond Investing: A Q&A With...

Managing through an unprecedented period for EM bond investors

By Samy Muaddi

Samy Muaddi Head of Emerging Markets

September 2023 / INVESTMENT INSIGHTS

Why You Should Consider a Better Future for EM Equities

Why You Should Consider a Better Future for EM Equities

Why You Should Consider a Better Future for...

Turnaround factors are forming to support emerging markets

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager

September 2023 / INVESTMENT INSIGHTS

Regulating the AI Revolution: What Investors Need to Know

Regulating the AI Revolution: What Investors Need to Know

Regulating the AI Revolution: What Investors...

Competition with China and consumer safety are key themes

By Gilad Fortgang

Gilad Fortgang Associate Analyst

September 2023 / MARKETS & ECONOMY

Central Banks Should Be Wary of Quantitative Overtightening

Central Banks Should Be Wary of Quantitative Overtightening

Central Banks Should Be Wary of Quantitative...

They may not fully understand its impact

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

September 2023 / MARKETS & ECONOMY

The Resilient Engine of the US Economy Could Stall

The Resilient Engine of the US Economy Could Stall

The Resilient Engine of the US Economy Could...

Consumer fundamentals seem to be weakening from a strong position

By Blerina Uruçi

Blerina Uruçi US Economist

September 2023 / INVESTMENT INSIGHTS

The Fairy Tale of a Soft Landing

The Fairy Tale of a Soft Landing

The Fairy Tale of a Soft Landing

The consensus view shift toward a mild downturn looks misplaced

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

September 2023 / VIDEO

US Treasury Yields, Up, Up, and Away…?

US Treasury Yields, Up, Up, and Away…?

US Treasury Yields, Up, Up, and Away…?

We expect rate volatility to persist as the Fed pursues a 2% inflation target and...

By Christina Noonan

Christina Noonan Associate Portfolio Manager

August 2023 / MARKETS & ECONOMY

China’s Economy Faces Renewed Pressures

China’s Economy Faces Renewed Pressures

China’s Economy Faces Renewed Pressures

Property sector weakness weighing on confidence

By T. Rowe Price

T. Rowe Price

August 2023 / VIDEO

Leaning Into Real Assets

Leaning Into Real Assets

Leaning Into Real Assets

Our Asset Allocation Committee recently added to real assets equities, given attractive...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

August 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: August Viewpoints

Global Asset Allocation: August Viewpoints

Global Asset Allocation: August Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

August 2023 / INVESTMENT INSIGHTS

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Second Quarter 2023

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

By Christopher P. Brown, Ramon de Castro & Jean-Marc Breaux

August 2023 / MULTI-ASSET

Leaning Into Real Assets

Leaning Into Real Assets

Leaning Into Real Assets

Attractive valuations and improving fundamentals may boost commodities

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist Multi‑Asset Division

August 2023 / INVESTMENT INSIGHTS

The Outlook for US Smaller Companies Looks Increasingly Compelling

The Outlook for US Smaller Companies Looks Increasingly Compelling

The Outlook for US Smaller Companies Looks...

Now is not the time to wait on the sidelines

By Curt J. Organt

Curt J. Organt Co-Portfolio Manager

August 2023 / VIDEO

A new era of Gulf aid: potential winners and losers

A new era of Gulf aid: potential winners and losers

A new era of Gulf aid: potential winners...

A new era of Gulf aid could emerge—which countries could potentially benefit, and...

By Razan Nasser

Razan Nasser Credit Analyst

August 2023 / INVESTMENT INSIGHTS

Looking Further Afield for Impact

Looking Further Afield for Impact

Looking Further Afield for Impact

Innovative Impact Credit Investing

By Matthew Lawton

Matthew Lawton Portfolio Manager

August 2023 / INVESTMENT INSIGHTS

The Four US Treasury Yield Phases of a Fed Tightening Cycle

The Four US Treasury Yield Phases of a Fed Tightening Cycle

The Four US Treasury Yield Phases of a Fed...

Portfolio managers collaborate to help shape duration positioning

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

July 2023 / VIDEO

Webinar replay: Free Talk – The True Cost of Capital

Webinar replay: Free Talk – The True Cost of Capital

Webinar replay: Free Talk – The True Cost...

Webinar replay: Free Talk – The True Cost of Capital

By Multiple Authors

By Multiple Authors

July 2023 / INVESTMENT INSIGHTS

How Impact Investing Can Help Address ESG Scepticism

How Impact Investing Can Help Address ESG Scepticism

How Impact Investing Can Help Address ESG...

Using measurement and engagement to tackle ESG fractures head-on

By Hari Balkrishna

Hari Balkrishna Portfolio Manager, Global Impact Equity Strategy

July 2023 / INVESTMENT INSIGHTS

From Crisis to Confidence: Spanish Banks Ready to Shine

From Crisis to Confidence: Spanish Banks Ready to Shine

From Crisis to Confidence: Spanish Banks...

Lessons from the Global Financial Crisis have left a stronger banking sector in Europe,...

By Rob Thomas

Rob Thomas Global Credit Analyst

July 2023 / INVESTMENT INSIGHTS

A New Fixed Income Regime—Three Active Portfolio Responses

A New Fixed Income Regime—Three Active Portfolio Responses

A New Fixed Income Regime—Three Active Portfolio...

What to expect as monetary policy tightening moves closer to ending

By Scott Solomon

Scott Solomon Co‑portfolio Manager, Dynamic Global Bond Strategy

July 2023 / INVESTMENT INSIGHTS

There are Reasons to Like European Bank Bonds

There are Reasons to Like European Bank Bonds

There are Reasons to Like European Bank Bonds

Attractive valuations and resilient fundamentals support the sector

By David Stanley, Rob Thomas & Bineesha Wickremarachchi

By David Stanley, Rob Thomas & Bineesha Wickremarachchi

July 2023 / INVESTMENT INSIGHTS

US Equities Are Back in Favour

US Equities Are Back in Favour

US Equities Are Back in Favour

Earnings outlook for US companies is trending positive

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi‑Asset Division

July 2023 / INVESTMENT INSIGHTS

Post-Pandemic Trends Support Credit Quality in Health Care

Post-Pandemic Trends Support Credit Quality in Health Care

Post-Pandemic Trends Support Credit Quality...

Collaboration across health care industries reveals credit trends

By Domingo Villarruel, Marianna Korpusova & Mitchell Unger

By Domingo Villarruel, Marianna Korpusova & Mitchell Unger

July 2023 / INVESTMENT INSIGHTS

Where Now for Global Equity Markets?

Where Now for Global Equity Markets?

Where Now for Global Equity Markets?

Five forces defining the equity cycle

By Scott Berg

Scott Berg Portfolio Manager

July 2023 / INVESTMENT INSIGHTS

Central Banks Step Into Potential Policy Error Territory

Central Banks Step Into Potential Policy Error Territory

Central Banks Step Into Potential Policy...

Hawkish stances risk overtightening and causing recession

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

July 2023 / INVESTMENT INSIGHTS

Offense and Defense—Health Care Offers Exposure to Both Worlds

Offense and Defense—Health Care Offers Exposure to Both Worlds

Offense and Defense—Health Care Offers Exposure...

Few sectors offer defensive characteristics and attractive growth potential

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager

July 2023 / MARKETS & ECONOMY

The Fed Signals More Rate Increases Amid a Resilient Economy

The Fed Signals More Rate Increases Amid a Resilient Economy

The Fed Signals More Rate Increases Amid...

Sticky inflation and further rate hikes reduce soft landing odds

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

May 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

Q2   Show

June 2023 / INVESTMENT INSIGHTS

Global drivers create opportunities in Central and Eastern Europe

Global drivers create opportunities in Central and Eastern Europe

Global drivers create opportunities in Central...

After years of investing in production in the Far East, complex and high value-added...

By Peter Botoucharov

Peter Botoucharov Emerging Market Credit Analyst

June 2023 / MARKETS & ECONOMY

The World Faces a Highly Variable Inflation Outlook

The World Faces a Highly Variable Inflation Outlook

The World Faces a Highly Variable Inflation...

The US and UK face a tougher challenge than the Nordics and eurozone

By Tomasz Wieladek & Aadish Kumar

By Tomasz Wieladek & Aadish Kumar

June 2023 / MARKETS & ECONOMY

A Garden Variety Recession Is Coming

A Garden Variety Recession Is Coming

A Garden Variety Recession Is Coming

It will be very different than 2008 and 2020

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

June 2023 / INVESTMENT INSIGHTS

High Yield Approaches Inflection

High Yield Approaches Inflection

High Yield Approaches Inflection

Security selection is imperative in an environment of higher credit volatility

By Michael Della Vedova

Michael Della Vedova Global High Yield Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

Global High Yield-Managing Through Volatile Markets

Global High Yield-Managing Through Volatile Markets

Global High Yield-Managing Through Volatile...

Fundamental research is imperative as growth weakens.

By Michael Della Vedova

Michael Della Vedova Global High Yield Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

High Yield Bonds Appear Well Positioned for a Downturn

High Yield Bonds Appear Well Positioned for a Downturn

High Yield Bonds Appear Well Positioned for...

The sector is in better health than prior to previous slowdowns.

By Michael Della Vedova

Michael Della Vedova Global High Yield Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

Disruption Is Losing Its Ability to Surprise

Disruption Is Losing Its Ability to Surprise

Disruption Is Losing Its Ability to Surprise

Are we heading for a “decade of the incumbent”?

By John D. Linehan

John D. Linehan Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

Generative AI Holds Promise and Peril for Investors

Generative AI Holds Promise and Peril for Investors

Generative AI Holds Promise and Peril for...

Looking beyond the hype to see opportunities in builders and toolmakers.

By Multiple Authors

By Multiple Authors

June 2023 / INVESTMENT INSIGHTS

Four Themes Shaping Global High Yield Bonds

Four Themes Shaping Global High Yield Bonds

Four Themes Shaping Global High Yield Bonds

Opportunities to generate value amid volatility

By Michael Della Vedova

Michael Della Vedova Co‑portfolio Manager, Global High Income Bond Strategy

June 2023 / MIDYEAR MARKET OUTLOOK

Finding the Signal Through the Noise

Finding the Signal Through the Noise

Finding the Signal Through the Noise

Bearish indicators could be flashing misleading signs

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: June Viewpoints

Global Asset Allocation: June Viewpoints

Global Asset Allocation: June Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

June 2023 / INVESTMENT INSIGHTS

Why an All-Weather Approach Works Best for Euro Corporate Bonds

Why an All-Weather Approach Works Best for Euro Corporate Bonds

Why an All-Weather Approach Works Best for...

Aiming for outperformance through good and bad times matters

By David Stanley

David Stanley Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

Global Equities: Everything Changes, So Focus on What Stays the Same

Global Equities: Everything Changes, So Focus on What Stays the Same

Global Equities: Everything Changes, So Focus...

Our investment framework is constantly adapting to the challenges of change

By David J. Eiswert

David J. Eiswert Portfolio Manager

June 2023 / INVESTMENT INSIGHTS

US Debt Deal May Mark New Era in Federal Spending

US Debt Deal May Mark New Era in Federal Spending

US Debt Deal May Mark New Era in Federal...

Here's what it could mean for the economy, industry, and policy

By Michael Pinkerton

Michael Pinkerton Associate Analyst

June 2023 / MARKET OUTLOOK

2023 China Midyear Market Outlook

2023 China Midyear Market Outlook

2023 China Midyear Market Outlook

A more broad-based recovery after initial reopening, though some bumpiness is expected

By Jacqueline Liu

Jacqueline Liu Portfolio Manager

June 2023 / MARKET OUTLOOK

Focus on Earnings

Focus on Earnings

Focus on Earnings

2023 Midyear Market outlook – Theme 3

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2023 / MARKET OUTLOOK

The Japan Story Is Gaining Momentum

The Japan Story Is Gaining Momentum

The Japan Story Is Gaining Momentum

Macro risks have risen, but the outlook for Japan appears bright

By Archibald Ciganer

Archibald Ciganer Investment Analyst

June 2023 / MARKET OUTLOOK

Economic Resilience Tested

Economic Resilience Tested

Economic Resilience Tested

2023 Midyear Market outlook – Theme 1

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2023 / MARKET OUTLOOK

Bonds are Back?

Bonds are Back?

Bonds are Back?

2023 Midyear Market outlook – Theme 2

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2023 / MARKET OUTLOOK

2023 Midyear Market Outlook: Summary

2023 Midyear Market Outlook: Summary

2023 Midyear Market Outlook: Summary

Key takeaways of the 2023 Midyear Market Outlook

By Ritu Vohora

Ritu Vohora Investment Specialist, Capital Markets

June 2023 / VIDEO

Webinar replay: 2023 Midyear Market Outlook

Webinar replay: 2023 Midyear Market Outlook

Webinar replay: 2023 Midyear Market Outlook

Despite volatility, opportunities await skilled active managers

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2023 / MARKETS & ECONOMY

Asset Allocation in an Uncertain Environment

Asset Allocation in an Uncertain Environment

Asset Allocation in an Uncertain Environment

High yield bonds could offer an attractive risk/reward trade-off

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi-Asset Division

June 2023 / INVESTMENT INSIGHTS

Inside the Engine Room of EM Local Currency Debt

Inside the Engine Room of EM Local Currency Debt

Inside the Engine Room of EM Local Currency...

A potentially rewarding asset class

By Nathan Wang & Wenting Shen

By Nathan Wang & Wenting Shen

June 2023 / VIDEO

US Debt Deal Does More Than Avoid Default

US Debt Deal Does More Than Avoid Default

US Debt Deal Does More Than Avoid Default

The deal to suspend the limit on the US government’s borrowing averted a default...

By Michael Pinkerton

Michael Pinkerton Associate Analyst

June 2023 / INVESTMENT INSIGHTS

ESG Integral to Emerging Markets Corporate Bond Investing

ESG Integral to Emerging Markets Corporate Bond Investing

ESG Integral to Emerging Markets Corporate...

ESG-labeled bonds gain momentum, but monitoring credentials is vital

By Siby Thomas

Siby Thomas Portfolio Manager

June 2023 / VIDEO

My Two Biggest Rules for Investing in Industrials

My Two Biggest Rules for Investing in Industrials

My Two Biggest Rules for Investing in Industrials

Industrials are sensitive to the business cycle, but supportive government policies...

By Melanie Rizzo

Melanie Rizzo Investment Analyst

June 2023 / VIDEO

Stubborn Services Inflation Keeps Fed on Guard

Stubborn Services Inflation Keeps Fed on Guard

Stubborn Services Inflation Keeps Fed on...

We’ll need to see more evidence of a deceleration in services inflation to be confident...

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

June 2023 / INVESTMENT INSIGHTS

China Investing: What Comes Next?

China Investing: What Comes Next?

China Investing: What Comes Next?

A three-stage recovery is underway

By Wenli Zheng

Wenli Zheng Portfolio Manager, China Evolution Equity Strategy

May 2023 / INVESTMENT INSIGHTS

Implications of the Debt Ceiling Showdown for Investors

Implications of the Debt Ceiling Showdown for Investors

Implications of the Debt Ceiling Showdown...

As the “x-date” approaches, our portfolio managers and experts are closely monitoring...

By T. Rowe Price

T. Rowe Price

May 2023 / INVESTMENT INSIGHTS

Raising the Debt Ceiling Could Pressure Bank Funding

Raising the Debt Ceiling Could Pressure Bank Funding

Raising the Debt Ceiling Could Pressure Bank...

But cash squeeze may force the Fed to halt quantitative tightening

By Adam Marden & Pranay Subedi

By Adam Marden & Pranay Subedi

May 2023 / INVESTMENT INSIGHTS

Strategy Focus on US Impact Equity

Strategy Focus on US Impact Equity

Strategy Focus on US Impact Equity

Aiming to have a positive impact while seeking benchmark outperformance

By David L. Rowlett

David L. Rowlett Portfolio Manager

May 2023 / INVESTMENT INSIGHTS

Foundations of Emerging Markets Bond Investing

Foundations of Emerging Markets Bond Investing

Foundations of Emerging Markets Bond Investing

Four-part anchoring framework fundamental to debt sustainability

By Samy Muaddi

Samy Muaddi Head of Emerging Markets

May 2023 / MARKETS & ECONOMY

US Labor Market Strength May Be Tenuous

US Labor Market Strength May Be Tenuous

US Labor Market Strength May Be Tenuous

Emerging signs of weakness could be headwinds for jobs

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

May 2023 / INVESTMENT INSIGHTS

What Does the Stress in Regional Banking Mean for US Smaller Companies?

What Does the Stress in Regional Banking Mean for US Smaller Companies?

What Does the Stress in Regional Banking...

The banking sector is an integral part of the U.S. small-cap investment universe

By Curt J. Organt

Curt J. Organt Co-Portfolio Manager

May 2023 / VIDEO

Is the Employment Picture Turning?

Is the Employment Picture Turning?

Is the Employment Picture Turning?

The US labor market faces headwinds amid tighter credit conditions for small businesses...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

May 2023 / INVESTMENT INSIGHTS

Volatility Brings Opportunity in Fixed Income

Volatility Brings Opportunity in Fixed Income

Volatility Brings Opportunity in Fixed Income

Rates offer alpha opportunities, dollar at risk of depreciation

By Arif Husain & Scott Solomon

By Arif Husain & Scott Solomon

May 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: May Viewpoints

Global Asset Allocation: May Viewpoints

Global Asset Allocation: May Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

May 2023 / INVESTMENT INSIGHTS

The Art of Actively Managing Interest Rate Risk

The Art of Actively Managing Interest Rate Risk

The Art of Actively Managing Interest Rate...

With volatility likely to persist, an active approach remains critical

By Amanda Stitt

Amanda Stitt Portfolio Specialist

May 2023 / BLOG

Three Themes Investors Should Watch in US-China Relations

Three Themes Investors Should Watch in US-China Relations

Three Themes Investors Should Watch in US-China...

Competition between these powers creates risk and opportunity

By Michael Pinkerton

Michael Pinkerton Washington Associate Analyst, U.S. Equity Division

May 2023 / INVESTMENT INSIGHTS

Smoothing the Ride for Credit Allocations

Smoothing the Ride for Credit Allocations

Smoothing the Ride for Credit Allocations

Dynamic Credit Strategy offers a flexible, differentiated approach

By Saurabh Sud

Saurabh Sud Portfolio Manager

May 2023 / VIDEO

Medical Technology Industry Well Positioned Post-COVID

Medical Technology Industry Well Positioned Post-COVID

Medical Technology Industry Well Positioned...

Many businesses in the health care sector can consistently grow revenue and earnings,...

By Mitchell Unger

Mitchell Unger Corporate Credit Analyst

May 2023 / INVESTMENT INSIGHTS

What Is Next for the AT1 Bond Market?

What Is Next for the AT1 Bond Market?

What Is Next for the AT1 Bond Market?

Credit Suisse write-down does not spell the end of this market

By Rob Thomas & Bineesha Wickremarachchi

By Rob Thomas & Bineesha Wickremarachchi

20 April 2023 / VIDEO

US Equities: Outlook amidst the volatility

US Equities: Outlook amidst the volatility

US Equities: Outlook amidst the volatility

Eric Veiel, Head of Global Equity & CIO, discusses the mid-to-long term outlook for...

By Eric L. Veiel

Eric L. Veiel Head of Global Investments and CIO

April 2023 / ASSET ALLOCATION VIEWPOINT

Asset Allocation Viewpoints: April Insights

Asset Allocation Viewpoints: April Insights

Asset Allocation Viewpoints: April Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

April 2023 / INVESTMENT INSIGHTS

A More Turbulent Path for the Fed

A More Turbulent Path for the Fed

A More Turbulent Path for the Fed

Calming banking jitters amid high inflation and slowing growth

By Christina Noonan

Christina Noonan Associate Portfolio Manager

April 2023 / INVESTMENT INSIGHTS

Fostering Change With Impact Investing

Fostering Change With Impact Investing

Fostering Change With Impact Investing

Pursuing social and environmental impact alongside financial returns

By Hari Balkrishna, Matthew Lawton & David L. Rowlett

By Hari Balkrishna, Matthew Lawton & David L. Rowlett

April 2023 / INVESTMENT INSIGHTS

China's Reopening: Implications and Impact

China's Reopening: Implications and Impact

China's Reopening: Implications and Impact

Brisk reopening brings quicker consumption response

By Carolyn Chu & Christopher J. Kushlis

By Carolyn Chu & Christopher J. Kushlis

March 2023 / INVESTMENT INSIGHTS

Building Core Strength to Meet Demands of Markets

Building Core Strength to Meet Demands of Markets

Building Core Strength to Meet Demands of...

Positioning across the style spectrum with a focus on individual stock picking

By Peter J. Bates

Peter J. Bates Portfolio Manager

March 2023 / INVESTMENT INSIGHTS

The time is right for Euro corporate bonds

The time is right for Euro corporate bonds

The time is right for Euro corporate bonds

Three reasons why we think now is a good time to consider a higher allocation to...

By David Stanley

David Stanley Portfolio Manager

March 2023 / INVESTMENT INSIGHTS

2023 Five Investment Trends for the Next 12 Months

2023 Five Investment Trends for the Next 12 Months

2023 Five Investment Trends for the Next...

Positioning your portfolio for the challenges and opportunities ahead

By Yoram Lustig, Michael Walsh & Niklas Jeschke

By Yoram Lustig, Michael Walsh & Niklas Jeschke

March 2023 / INVESTMENT INSIGHTS

How Climate and Biodiversity Considerations Are Driving Credit Risk

How Climate and Biodiversity Considerations Are Driving Credit Risk

How Climate and Biodiversity Considerations...

Role for investment industry in creating innovative financing solutions

By Tongai Kunorubwe & Penny Avraam

By Tongai Kunorubwe & Penny Avraam

March 2023 / INVESTMENT INSIGHTS

Why an All-Cap Approach Makes Sense in Today’s U.S. Equity Market

Why an All-Cap Approach Makes Sense in Today’s U.S. Equity Market

Why an All-Cap Approach Makes Sense in Today’s...

In a tight risk/reward environment, stock selection will be the key driver of returns

By Justin P. White

Justin P. White Portfolio Manager, T. Rowe Price All‑Cap Opportunities Strategy

March 2023 / MARKETS & ECONOMY

One Foot on the Brake and One on the Gas

One Foot on the Brake and One on the Gas

One Foot on the Brake and One on the Gas

My views on the economic and market implications of the banking turmoil

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

March 2023 / INVESTMENT INSIGHTS

T. Rowe Price Strategy Focus on Global Impact Equity

T. Rowe Price Strategy Focus on Global Impact Equity

T. Rowe Price Strategy Focus on Global Impact...

Read more about our Strategy Focus on Global Impact Equity.

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

March 2023 / MARKETS & ECONOMY

U.S. Banks: Should Investors Withdraw Their Concerns?

U.S. Banks: Should Investors Withdraw Their Concerns?

U.S. Banks: Should Investors Withdraw Their...

The recent failures of two regional banks stemmed from different causes than the...

By Christopher T. Fortune, Joseph Mlinac & Stephon Jackson

By Christopher T. Fortune, Joseph Mlinac & Stephon Jackson

March 2023 / INVESTMENT INSIGHTS

Bank Contagion Appears Limited, but Failures Create Key Risks

Bank Contagion Appears Limited, but Failures Create Key Risks

Bank Contagion Appears Limited, but Failures...

Heightened liquidity constraints and disruption require deft investing touch

By Matt J. Snowling & David M. DiPietro

By Matt J. Snowling & David M. DiPietro

March 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: March Viewpoints

Global Asset Allocation: March Viewpoints

Global Asset Allocation: March Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

March 2023 / VIDEO

Recession Avoided?

Recession Avoided?

Recession Avoided?

Positive economic news in the near term could mean a more hawkish Fed, which would...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

March 2023 / ASSET ALLOCATION STRATEGY

Including ESG Preferences in Asset Allocation

Including ESG Preferences in Asset Allocation

Including ESG Preferences in Asset Allocation

A systematic portfolio construction framework to reflect ESG considerations.

By Multiple Authors

By Multiple Authors

March 2023 / ASSET ALLOCATION VIEWPOINT

A Recession May Be Delayed, Not Avoided

A Recession May Be Delayed, Not Avoided

A Recession May Be Delayed, Not Avoided

Near-term tailwinds could favor international markets

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

March 2023 / INVESTMENT INSIGHTS

When Markets Twist and Turn, Flex Your Fixed Income

When Markets Twist and Turn, Flex Your Fixed Income

When Markets Twist and Turn, Flex Your Fixed...

Five bond strategies to help investors navigate evolving markets

By T. Rowe Price

T. Rowe Price

March 2023 / VIDEO

Labor Market Resilience Suggests Recession Is Not Imminent

Labor Market Resilience Suggests Recession Is Not Imminent

Labor Market Resilience Suggests Recession...

Growth accelerated in late 2022, and data released so far in 2023 solidify the case...

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

March 2023 / INVESTMENT INSIGHTS

2023—A Year of Transition for Emerging Markets

2023—A Year of Transition for Emerging Markets

2023—A Year of Transition for Emerging Markets

China reopening supportive, but not enough on its own

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

March 2023 / INVESTMENT INSIGHTS

Why Value Stocks Are Becoming More Competitive Again

Why Value Stocks Are Becoming More Competitive Again

Why Value Stocks Are Becoming More Competitive...

The investment environment has undergone a decisive shift

By John D. Linehan

John D. Linehan Portfolio Manager

March 2023 / INVESTMENT INSIGHTS

How Value Can Flex to Shifting Market Dynamics

How Value Can Flex to Shifting Market Dynamics

How Value Can Flex to Shifting Market Dynamics

Agility to offer cyclical and defensive opportunities

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

March 2023 / INVESTMENT INSIGHTS

For or Against The Year in Shareholder Resolutions—2022

For or Against The Year in Shareholder Resolutions—2022

For or Against The Year in Shareholder Resolutions...

With environmental and social proposals in the spotlight, case-by-case insights were...

By Donna Anderson & Jocelyn Brown

By Donna Anderson & Jocelyn Brown

March 2023 / INVESTMENT INSIGHTS

A new perspective on the LDI fallout and the importance of asset liquid...

A new perspective on the LDI fallout and the importance of asset liquidity

A new perspective on the LDI fallout and...

Why an actively managed, high quality fixed income strategy can help pension funds...

By T. Rowe Price

T. Rowe Price

February 2023 / INVESTMENT INSIGHTS

Russia-Ukraine War One Year On

Russia-Ukraine War One Year On

Russia-Ukraine War One Year On

Ongoing war continues to reverberate through the economy and energy markets

By Razan Nasser & Peter Botoucharov

By Razan Nasser & Peter Botoucharov

February 2023 / INVESTMENT INSIGHTS

How ESG and Value Investing Can Go Hand in Hand

How ESG and Value Investing Can Go Hand in Hand

How ESG and Value Investing Can Go Hand in...

ESG integration can be an essential component to unlocking value

By Véronique Chapplow, Sebastien Mallet & Ernest C. Yeung

By Véronique Chapplow, Sebastien Mallet & Ernest C. Yeung

February 2023 / INVESTMENT INSIGHTS

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Perspectives on Securitised Credit

Fourth Quarter 2022

By Christopher P. Brown & Ramon de Castro

By Christopher P. Brown & Ramon de Castro

February 2023 / INVESTMENT INSIGHTS

Lessons From the Fall: Key Changes for Growth Investors

Lessons From the Fall: Key Changes for Growth Investors

Lessons From the Fall: Key Changes for Growth...

Market pain can bring change and long-term opportunity

By Paul Greene

Paul Greene Portfolio Manager

February 2023 / ASSET ALLOCATION STRATEGY

A Long-Awaited Reversal

A Long-Awaited Reversal

A Long-Awaited Reversal

Near-term tailwinds could favor international markets

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi‑Asset Division

February 2023 / VIDEO

Video: A Long-Awaited Reversal

Video: A Long-Awaited Reversal

Video: A Long-Awaited Reversal

U.S. equities trailed the rest of the world in 2022, and near-term tailwinds could...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi‑Asset Division

February 2023 / INVESTMENT INSIGHTS

The Case for a Dedicated China Allocation Within EM

The Case for a Dedicated China Allocation Within EM

The Case for a Dedicated China Allocation...

In China, change is the only constant

By Thomas Poullaouec, Robert Secker & Nathan Wang

By Thomas Poullaouec, Robert Secker & Nathan Wang

February 2023 / INVESTMENT INSIGHTS

Headwinds for Equity Markets Starting to Diminish

Headwinds for Equity Markets Starting to Diminish

Headwinds for Equity Markets Starting to...

Disinflationary forces point to a more benign environment

By Laurence Taylor

Laurence Taylor Equity Solutions Portfolio Manager

February 2023 / INVESTMENT INSIGHTS

What Investors Need to Know About the U.S. Debt Ceiling

What Investors Need to Know About the U.S. Debt Ceiling

What Investors Need to Know About the U.S....

The impasse over raising the debt ceiling may roil markets.

By Michael Pinkerton

Michael Pinkerton Washington Associate Analyst
U.S. Equity Division

February 2023 / VIDEO

Fintechs: Evaluating the Threat to Emerging Markets Banks

Fintechs: Evaluating the Threat to Emerging Markets Banks

Fintechs: Evaluating the Threat to Emerging...

After a closer look at the emerging markets banking sector, we’ve concluded the success...

By Mariel Abreu

Mariel Abreu Emerging Market Credit Analyst

February 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: February Viewpoints

Global Asset Allocation: February Viewpoints

Global Asset Allocation: February Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

February 2023 / INVESTMENT INSIGHTS

The Importance of Additionality in Impact Investing

The Importance of Additionality in Impact Investing

The Importance of Additionality in Impact...

Additionality can accelerate and strengthen impact investing

By Matthew Lawton

Matthew Lawton Portfolio Manager

February 2023 / INVESTMENT INSIGHTS

The Energy Crisis Is Only Just Beginning

The Energy Crisis Is Only Just Beginning

The Energy Crisis Is Only Just Beginning

Next winter is where the real challenge lies

By Justin Thomson

Justin Thomson Head of International Equity and CIO

February 2023 / INVESTMENT INSIGHTS

Four Factors Shaping a Brighter Outlook for U.S. Smaller Companies

Four Factors Shaping a Brighter Outlook for U.S. Smaller Companies

Four Factors Shaping a Brighter Outlook for...

The “risk off” pendulum has swung too far

By Curt J. Organt

Curt J. Organt Co-Portfolio Manager

February 2023 / ASSET ALLOCATION STRATEGY

Asset Allocation Beyond Diversification

Asset Allocation Beyond Diversification

Asset Allocation Beyond Diversification

Insights from the Multi-Asset engine room

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

February 2023 / MARKETS & ECONOMY

The Mild Winter Will Delay Europe’s Recession, Not Prevent It

The Mild Winter Will Delay Europe’s Recession, Not Prevent It

The Mild Winter Will Delay Europe’s Recession,...

Other risks will likely weigh on the Continent later this year

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

February 2023 / INVESTMENT INSIGHTS

Divest or Engage To Meet Climate Commitments?

Divest or Engage To Meet Climate Commitments?

Divest or Engage To Meet Climate Commitments?

The Russia/Ukraine war and the recent energy supply squeeze have brought into sharp...

By Maria Elena Drew

Maria Elena Drew Director of Research, Responsible Investing

January 2023 / INVESTMENT INSIGHTS

Impact Investing: Q&A with Hari Balkrishna

Impact Investing: Q&A with Hari Balkrishna

Impact Investing: Q&A with Hari Balkrishna

Hari Balkrishna discusses why public equity markets are integral to meeting environmental...

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

January 2023 / INVESTMENT INSIGHTS

Global Impact Credit—One Year On

Global Impact Credit—One Year On

Global Impact Credit—One Year On

Reflecting on a year of impact investing and what’s next

By Matthew Lawton

Matthew Lawton Portfolio Manager, Global Impact Credit Strategy

January 2023 / PODCAST

Emerging Markets Local Currency Bonds in Focus

Emerging Markets Local Currency Bonds in Focus

Emerging Markets Local Currency Bonds in...

Audio Series - T. Rowe Price EM-phasis: Shining a Spotlight on Emerging Markets

By Andrew Keirle & Michael Ganske

By Andrew Keirle & Michael Ganske

January 2023 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: January Viewpoints

Global Asset Allocation: January Viewpoints

Global Asset Allocation: January Viewpoints

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

January 2023 / INVESTMENT INSIGHTS

A New Dollar Smile: Where Next for the U.S. Dollar?

A New Dollar Smile: Where Next for the U.S. Dollar?

A New Dollar Smile: Where Next for the U.S....

Our analysis shows the U.S. dollar is at risk of weakening

By Multiple Authors

By Multiple Authors

January 2023 / INVESTMENT INSIGHTS

Five Key Insights From 2022

Five Key Insights From 2022

Five Key Insights From 2022

Uncertainty persists, but yield is back and fundamentals matter

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist, Multi-Asset Division

January 2023 / INVESTMENT INSIGHTS

The Active Advantage in High Yield

The Active Advantage in High Yield

The Active Advantage in High Yield

Active approach allows security selection and nimble positioning

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

December 2022 / INVESTMENT INSIGHTS

Securitised Credit Continues to Evolve

Securitised Credit Continues to Evolve

Securitised Credit Continues to Evolve

Post-GFC rules have toned down risk, but careful analysis is key

By Jean-Marc Breaux, Ramon de Castro & Evan Shay

By Jean-Marc Breaux, Ramon de Castro & Evan Shay

December 2022 / INVESTMENT INSIGHTS

Growth Investing: A Q&A With David Eiswert

Growth Investing: A Q&A With David Eiswert

Growth Investing: A Q&A With David Eiswert

A decade of insights and excitement for the return of price discovery

By David J. Eiswert

David J. Eiswert Portfolio Manager

December 2022 / ASSET ALLOCATION VIEWPOINT

The 2023 Inflation Outlook

The 2023 Inflation Outlook

The 2023 Inflation Outlook

Interest rate cut is unlikely if inflation settles above Fed’s target

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

December 2022 / VIDEO

Video: The 2023 Inflation Outlook

Video: The 2023 Inflation Outlook

Video: The 2023 Inflation Outlook

Easing inflation may slow or pause Fed hikes, but we believe a rate cut is unlikely...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

December 2022 / INVESTMENT INSIGHTS

Myths and Misconceptions in the Active vs. Passive Debate

Myths and Misconceptions in the Active vs. Passive Debate

Myths and Misconceptions in the Active vs....

Looking deeper to sort fact from fiction

By Josh Nelson

Josh Nelson Head of U.S. Equity

December 2022 / MARKETS & ECONOMY

Do Not Underestimate the Impact of Quantitative Tightening

Do Not Underestimate the Impact of Quantitative Tightening

Do Not Underestimate the Impact of Quantitative...

It may affect economies more than central banks assume

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

December 2022 / INVESTMENT INSIGHTS

Value Investing: A Q&A With Sebastien Mallet

Value Investing: A Q&A With Sebastien Mallet

Value Investing: A Q&A With Sebastien Mallet...

A decade of insights, and reasons why I am optimistic about the next 10 years

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

December 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: December Insights

Global Asset Allocation: December Insights

Global Asset Allocation: December Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

December 2022 / MARKET OUTLOOK

The Need for Agility

The Need for Agility

The Need for Agility

A time to be selectively contrarian

By Andrew McCormick, Justin Thomson & Sébastien Page

By Andrew McCormick, Justin Thomson & Sébastien Page

December 2022 / MARKET OUTLOOK

Deglobalisation in a Connected World

Deglobalisation in a Connected World

Deglobalisation in a Connected World

We are seeing a shift in the global economy that could shape the investment landscape...

By Andrew McCormick, Justin Thomson & Sébastien Page

By Andrew McCormick, Justin Thomson & Sébastien Page

December 2022 / MARKET OUTLOOK

An Economic Balancing Act

An Economic Balancing Act

An Economic Balancing Act

Aggressive rate hikes are slowing economic growth. But a deep downturn across the...

By Andrew McCormick, Sébastien Page & Justin Thomson

By Andrew McCormick, Sébastien Page & Justin Thomson

December 2022 / VIDEO

Key Takeaways of the 2023 Global Market Outlook

Key Takeaways of the 2023 Global Market Outlook

Key Takeaways of the 2023 Global Market Outlook

A sneak peek of this year's Global Market Outlook webinar

By Ritu Vohora

Ritu Vohora Investment Specialist, Capital Markets

December 2022 / MARKET OUTLOOK

Leaning Against the Wind

Leaning Against the Wind

Leaning Against the Wind

In the face of challenging headwinds, a careful contrarian approach could offer potential...

By Andrew McCormick, Justin Thomson & Sébastien Page

By Andrew McCormick, Justin Thomson & Sébastien Page

December 2022 / MARKET OUTLOOK

Webinar replay: 2023 Global Market Outlook

Webinar replay: 2023 Global Market Outlook

Webinar replay: 2023 Global Market Outlook

With volatility ahead, agility can be a great source of opportunity

By Andrew McCormick, Justin Thomson & Sébastien Page

By Andrew McCormick, Justin Thomson & Sébastien Page

December 2022 / MARKET OUTLOOK

The Return of Yield

The Return of Yield

The Return of Yield

Yields are appealing in select markets and buying opportunities exist, but investors...

By Andrew McCormick, Justin Thomson & Sébastien Page

By Andrew McCormick, Justin Thomson & Sébastien Page

December 2022 / MARKET OUTLOOK

Asia ex-Japan 2023 Market Outlook

Asia ex-Japan 2023 Market Outlook

Asia ex-Japan 2023 Market Outlook

Patiently Building Long-Term Positions

By Anh Lu

Anh Lu Portfolio Manager

December 2022 / MARKET OUTLOOK

The Outlook for Japan Remains Finely Poised

The Outlook for Japan Remains Finely Poised

The Outlook for Japan Remains Finely Poised

Divergent policy, relative to other major markets, has broad implications

By Archibald Ciganer

Archibald Ciganer Investment Analyst

December 2022 / MARKET OUTLOOK

China Market Outlook 2023

China Market Outlook 2023

China Market Outlook 2023

“What should be” versus “What is likely to happen”

By Wenli Zheng

Wenli Zheng Portfolio Manager

November 2022 / ASSET ALLOCATION VIEWPOINT

Adapting to a New Investment World

Adapting to a New Investment World

Adapting to a New Investment World

Investors face new opportunities and challenges as we head into 2023

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

November 2022 / PODCAST

China—The Interplay of Policy, Growth, and Geopolitics

China—The Interplay of Policy, Growth, and Geopolitics

China—The Interplay of Policy, Growth, and...

Audio Series - T. Rowe Price EM-phasis: Shining a Spotlight on Emerging Markets

By Christopher J. Kushlis & Benjamin Robins

By Christopher J. Kushlis & Benjamin Robins

November 2022 / PODCAST

Sovereign Analysis Amid the Perils of War

Sovereign Analysis Amid the Perils of War

Sovereign Analysis Amid the Perils of War

Audio series - T. Rowe Price EM-phasis: Shining a Spotlight on Emerging Markets

By Razan Nasser, Peter Botoucharov & Benjamin Robins

By Razan Nasser, Peter Botoucharov & Benjamin Robins

22 November 2022 / INVESTMENT INSIGHTS

After Goldilocks, Which Bear (Market) Will Prevail?

After Goldilocks, Which Bear (Market) Will Prevail?

After Goldilocks, Which Bear (Market) Will...

A clearer picture of the U.S. market outlook should emerge over the coming weeks

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager, T. Rowe Price US Large Cap Growth Equity Strategy

November 2022 / INVESTMENT INSIGHTS

Impact Investing in Credit: Debunking Four Common Misconceptions

Impact Investing in Credit: Debunking Four Common Misconceptions

Impact Investing in Credit: Debunking Four...

We attempt to debunk four popular myths about impact investing

By Matthew Lawton

Matthew Lawton Portfolio Manager

November 2022 / INVESTMENT INSIGHTS

What Next for Diversity in the Boardroom?

What Next for Diversity in the Boardroom?

What Next for Diversity in the Boardroom?

Beyond gender: Diversity through a multidimensional lens

By Jocelyn Brown

Jocelyn Brown Head of Governance, EMEA & APAC

November 2022 / MARKETS & ECONOMY

Strong Growth Now May Not Mitigate a Recession Next Year

Strong Growth Now May Not Mitigate a Recession Next Year

Strong Growth Now May Not Mitigate a Recession...

Central bankers may have to rethink this key assumption

By Tomasz Wieladek & Aadish Kumar

By Tomasz Wieladek & Aadish Kumar

November 2022 / ASSET ALLOCATION VIEWPOINT

Markets May Need More Than a Fed Pivot to Cure Woes

Markets May Need More Than a Fed Pivot to Cure Woes

Markets May Need More Than a Fed Pivot to...

For sustained gains, markets need a Fed pivot and positive outlook

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

November 2022 / VIDEO

Forecasting Oil Prices: Six Vital Indicators

Forecasting Oil Prices: Six Vital Indicators

Forecasting Oil Prices: Six Vital Indicators

We examine short-term oil data that are part of the price cycle and longer-term signals...

By Elliot Shue

Elliot Shue Corporate Credit Analyst

November 2022 / VIDEO

Waiting on the Fed?

Waiting on the Fed?

Waiting on the Fed?

We believe a constructive economic outlook, in addition to a Fed pivot, would likely...

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

November 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: November Insights

Global Asset Allocation: November Insights

Global Asset Allocation: November Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

November 2022 / INVESTMENT INSIGHTS

Global High Yield-Managing Through Volatile Markets

Global High Yield-Managing Through Volatile Markets

Global High Yield-Managing Through Volatile...

Fundamental research is imperative as macro headwinds rise.

By Michael Della Vedova & Stephen Marsh

By Michael Della Vedova & Stephen Marsh

November 2022 / INVESTMENT INSIGHTS

Divided Government Likely to Usher in Legislative Gridlock

Divided Government Likely to Usher in Legislative Gridlock

Divided Government Likely to Usher in Legislative...

Investors should focus on fundamentals, not political changes.

By Michael Pinkerton, Blerina Uruçi & Eric L. Veiel

By Michael Pinkerton, Blerina Uruçi & Eric L. Veiel

October 2022 / INVESTMENT INSIGHTS

Click Here – Has the Boom in Digital Advertising Peaked?

Click Here – Has the Boom in Digital Advertising Peaked?

Click Here – Has the Boom in Digital Advertising...

Four key factors set to shape the outlook for digital advertising.

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager

October 2022 / INVESTMENT INSIGHTS

The Case for a Strategic Allocation to High Yield Bonds

The Case for a Strategic Allocation to High Yield Bonds

The Case for a Strategic Allocation to High...

Hybrid characteristics provide attractive risk/reward profile

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

October 2022 / INVESTMENT INSIGHTS

As Market Dynamics Pivot, Alpha Opportunities Are Set to Improve

As Market Dynamics Pivot, Alpha Opportunities Are Set to Improve

As Market Dynamics Pivot, Alpha Opportunities...

The US equity landscape is changing as key characteristics retreat from extremes

By Josh Nelson

Josh Nelson Head of U.S. Equity

October 2022 / MARKETS & ECONOMY

The Storm in Financial Markets Is Not Over Yet

The Storm in Financial Markets Is Not Over Yet

The Storm in Financial Markets Is Not Over...

Inflationary pressures may be receding, however.

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

October 2022 / INVESTMENT INSIGHTS

Investing in Health Care’s Technological Transformation

Investing in Health Care’s Technological Transformation

Investing in Health Care’s Technological...

A wave of innovation underlies the success of mRNA vaccines

By Ziad Bakri

Ziad Bakri Portfolio Manager

October 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: October Insights

Global Asset Allocation: October Insights

Global Asset Allocation: October Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

October 2022 / INVESTMENT INSIGHTS

In Volatile Times, Value’s Defensive Qualities Can Shine

In Volatile Times, Value’s Defensive Qualities Can Shine

In Volatile Times, Value’s Defensive Qualities...

Diversification and defensive attributes can prove attractive

By Sebastien Mallet

Sebastien Mallet Portfolio Manager, Global Value Equity Strategy

October 2022 / VIDEO

Midterm Election Preview: What Investors Need to Know

Midterm Election Preview: What Investors Need to Know

Midterm Election Preview: What Investors...

Regardless of the election’s outcome, federal agencies will be an important tool...

By Michael Pinkerton

Michael Pinkerton Associate Analyst

October 2022 / ASSET ALLOCATION VIEWPOINT

Outlook May Favour High Yield Bonds Over Equities

Outlook May Favour High Yield Bonds Over Equities

Outlook May Favour High Yield Bonds Over...

High yield bonds could offer a yield advantage relative to equities

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

October 2022 / INVESTMENT INSIGHTS

Value Has Returned to High Yield

Value Has Returned to High Yield

Value Has Returned to High Yield

Fundamentals are strong, and spreads are attractive.

By Michael Della Vedova & Stephen Marsh

By Michael Della Vedova & Stephen Marsh

October 2022 / INVESTMENT INSIGHTS

Will Signs of Peak Inflation Bring About a Turnaround in “Growth” Stock...

Will Signs of Peak Inflation Bring About a Turnaround in “Growth” Stocks?

Will Signs of Peak Inflation Bring About...

Headwinds diminishing and valuations now more attractive

By Laurence Taylor

Laurence Taylor Equity Solutions Portfolio Manager

October 2022 / VIDEO

Sustainable Investing in Developing Countries

Sustainable Investing in Developing Countries

Sustainable Investing in Developing Countries

In this interview with portfolio manager Samy Muaddi, we discuss sustainable investing...

By Samy Muaddi & Benjamin Robins

By Samy Muaddi & Benjamin Robins

October 2022 / VIDEO

A Brief History of Emerging Markets Debt

A Brief History of Emerging Markets Debt

A Brief History of Emerging Markets Debt

Mike Conelius draws on a career spanning 25 years to trace the evolution of the emerging...

By Michael J. Conelius & Benjamin Robins

By Michael J. Conelius & Benjamin Robins

October 2022 / VIDEO

Latin America’s Swing to the Left

Latin America’s Swing to the Left

Latin America’s Swing to the Left

This conversation with Credit Analyst Aaron Gifford delves into the distinct characteristi...

By Aaron Gifford & Benjamin Robins

By Aaron Gifford & Benjamin Robins

September 2022 / INVESTMENT INSIGHTS

Complexity Brings Opportunity—Key Dynamics Shaping European Equities

Complexity Brings Opportunity—Key Dynamics Shaping European Equities

Complexity Brings Opportunity—Key Dynamics...

Tobias Mueller sheds light on Europe on his three-year milestone

By Tobias Mueller

Tobias Mueller Regional Portfolio Manager

September 2022 / INVESTMENT INSIGHTS

Market Turbulence Puts Active Management in the Spotlight

Market Turbulence Puts Active Management in the Spotlight

Market Turbulence Puts Active Management...

Refocusing on company fundamentals favors quality stock picking

By Josh Nelson

Josh Nelson T. Rowe Price Head of U.S. Equity

September 2022 / VIDEO

Semiconductor Subsidies Signal Shift in U.S. Industrial Policy

Semiconductor Subsidies Signal Shift in U.S. Industrial Policy

Semiconductor Subsidies Signal Shift in U.S....

Focus on shoring up key supply chains likely has legs

By Michael Pinkerton

Michael Pinkerton Associate Analyst

September 2022 / INVESTMENT INSIGHTS

How Value Can Benefit From a New Investment Cycle

How Value Can Benefit From a New Investment Cycle

How Value Can Benefit From a New Investment...

Four factors set to drive a boom in capital expenditure

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager

September 2022 / ASSET ALLOCATION VIEWPOINT

Fed’s Inflation Fight Likely to Persist

Fed’s Inflation Fight Likely to Persist

Fed’s Inflation Fight Likely to Persist

Steady rise in cost of services clouds inflation outlook

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

September 2022 / INVESTMENT INSIGHTS

The Regime Change in Markets Demands Fresh Ideas

The Regime Change in Markets Demands Fresh Ideas

The Regime Change in Markets Demands Fresh Ideas

Alpha potential is still available for those who adapt to the new paradigm

By Justin Thomson

Justin Thomson Head of International Equity and CIO

September 2022 / INVESTMENT INSIGHTS

2022 Aggregate Proxy Voting Summary

2022 Aggregate Proxy Voting Summary

2022 Aggregate Proxy Voting Summary

A closer look at key trends in T. Rowe Price’s proxy voting activity over the past...

By Donna Anderson & Jocelyn Brown

By Donna Anderson & Jocelyn Brown

September 2022 / INVESTMENT INSIGHTS

High Inflation and Rising Rates? Think Smaller Companies

High Inflation and Rising Rates? Think Smaller Companies

High Inflation and Rising Rates? Think Smaller...

Why U.S. smaller companies may prove more resilient than many expect.

By Curt J. Organt

Curt J. Organt Co-Portfolio Manager

August 2022 / INVESTMENT INSIGHTS

China: Embracing Uncertainty

China: Embracing Uncertainty

China: Embracing Uncertainty

And Identifying Good Opportunities

By Wenli Zheng

Wenli Zheng Portfolio Manager

August 2022 / INVESTMENT INSIGHTS

Value Investing: A Q&A With Sebastien Mallet

Value Investing: A Q&A With Sebastien Mallet

Value Investing: A Q&A With Sebastien Mallet...

A decade of insights, and reasons why I am optimistic about the next 10 years

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

August 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: September Insights

Global Asset Allocation: September Insights

Global Asset Allocation: September Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

August 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: August Insights

Global Asset Allocation: August Insights

Global Asset Allocation: August Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

August 2022 / INVESTMENT INSIGHTS

Are Frontier Markets Still the Great Untapped Opportunity?

Are Frontier Markets Still the Great Untapped Opportunity?

Are Frontier Markets Still the Great Untapped...

This dynamic part of the global equity market remains significantly neglected

By Johannes Loefstrand

Johannes Loefstrand Portfolio Manager, T. Rowe Price Frontier Markets Equity Strategy

August 2022 / INVESTMENT INSIGHTS

High Yield Bonds Appear Well Positioned for a Recession

High Yield Bonds Appear Well Positioned for a Recession

High Yield Bonds Appear Well Positioned for...

The sector is in better health than prior to previous downturns

By Michael Della Vedova & Stephen Marsh

By Michael Della Vedova & Stephen Marsh

August 2022 / GLOBAL EQUITIES

Active Stock Choices Are Key in Volatile Times

Active Stock Choices Are Key in Volatile Times

Active Stock Choices Are Key in Volatile...

Steering through complex dynamics within global equities.

By Scott Berg

Scott Berg Portfolio Manager

August 2022 / INVESTMENT INSIGHTS

Why Active Duration Management Matters

Why Active Duration Management Matters

Why Active Duration Management Matters

As market dynamics twist and turn, a flexible approach delivers results

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

August 2022 / INVESTMENT INSIGHTS

Attractive Income Bolsters High Yield Bonds

Attractive Income Bolsters High Yield Bonds

Attractive Income Bolsters High Yield Bonds

Recent downturn may also offer price appreciation opportunities

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

July 2022 / INVESTMENT INSIGHTS

Reports of the Death of EM Debt Are Exaggerated

Reports of the Death of EM Debt Are Exaggerated

Reports of the Death of EM Debt Are Exaggerated

Spreads are attractive compared with other asset classes

By Samy Muaddi & Benjamin Robins

By Samy Muaddi & Benjamin Robins

July 2022 / MARKETS & ECONOMY

Economic Headwinds Are Proving Stronger Than Expected

Economic Headwinds Are Proving Stronger Than Expected

Economic Headwinds Are Proving Stronger Than Expec...

The challenges facing the global economy will not abate soon

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

July 2022 / VIDEO

The Case for Dynamic Global Bond

The Case for Dynamic Global Bond

The Case for Dynamic Global Bond

Watch as Portfolio Specialist Amanda Stitt discusses why investors should consider...

By Amanda Stitt

Amanda Stitt Portfolio Specialist

July 2022 / INVESTMENT INSIGHTS

Will Signs of Peak Inflation Bring About a Turnaround in “Growth” Stock...

Will Signs of Peak Inflation Bring About a Turnaround in “Growth” Stocks?

Will Signs of Peak Inflation Bring About...

Headwinds diminishing and valuations now more attractive

By Laurence Taylor

Laurence Taylor Equity Solutions Portfolio Manager

July 2022 / INVESTMENT INSIGHTS

Are You Positioned on the Right Side of Change in China?

Are You Positioned on the Right Side of Change in China?

Are You Positioned on the Right Side of Change...

China is a fast-evolving market, in contrast to developed world markets

By Robert Secker

Robert Secker Portfolio Specialist

July 2022 / INVESTMENT INSIGHTS

China Evolution Equity: Unique Exposure to the China Opportunity Set

China Evolution Equity: Unique Exposure to the China Opportunity Set

China Evolution Equity: Unique Exposure to...

The Chinese economy is rich, deep and wide-ranging

By Robert Secker

Robert Secker Portfolio Specialist

July 2022 / INVESTMENT INSIGHTS

Value Has Returned to High Yield

Value Has Returned to High Yield

Value Has Returned to High Yield

Fundamentals are strong, and spreads are attractive.

By Michael Della Vedova & Stephen Marsh

By Michael Della Vedova & Stephen Marsh

July 2022 / INVESTMENT INSIGHTS

Why There’s More To China Than Just Big Tech

Why There’s More To China Than Just Big Tech

Why There’s More To China Than Just Big Tech

Mainstream indices are a poor reference point for investors in China

By Robert Secker

Robert Secker Portfolio Specialist

July 2022 / INVESTMENT INSIGHTS

Emerging Markets Face a Highly Varied Growth Outlook

Emerging Markets Face a Highly Varied Growth Outlook

Emerging Markets Face a Highly Varied Growth...

Inflation and monetary policies are not affecting regions equally

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

July 2022 / INVESTMENT INSIGHTS

New Dynamics Demand Fresh Thinking

New Dynamics Demand Fresh Thinking

New Dynamics Demand Fresh Thinking

How changing markets require investors to think and act differently

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

July 2022 / BLOG

Russia’s Invasion of Ukraine Prompts U.S. Energy Policy Shift

Russia’s Invasion of Ukraine Prompts U.S. Energy Policy Shift

Russia’s Invasion of Ukraine Prompts U.S....

The U.S. natural gas industry may enjoy some emerging policy tailwinds

By Michael Pinkerton

Michael Pinkerton Associate Analyst

July 2022 / BLOG

Four Key Considerations Within the U.S. Energy Sector

Four Key Considerations Within the U.S. Energy Sector

Four Key Considerations Within the U.S. Energy...

Looking for “multiple ways to win” in the broad energy space

By Gabriel Solomon

Gabriel Solomon Co-Portfolio Manager

June 2022 / INVESTMENT INSIGHTS

Winning by Not Losing: Building Portfolios for a More Challenging World

Winning by Not Losing: Building Portfolios for a More Challenging World

Winning by Not Losing: Building Portfolios...

Generating positive returns in tougher conditions requires new thinking

By Multiple Authors

By Multiple Authors

June 2022 / INVESTMENT INSIGHTS

Evaluating ESG Bonds—What’s Behind the Label?

Evaluating ESG Bonds—What’s Behind the Label?

Evaluating ESG Bonds—What’s Behind the Label?

Greenwashing risks underpin importance of assessing an ESG bond’s credentials

By Matthew Lawton

Matthew Lawton Portfolio Manager

June 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: June Insights

Global Asset Allocation: June Insights

Global Asset Allocation: June Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

June 2022 / INVESTMENT INSIGHTS

The Old Continent Is Now the New World

The Old Continent Is Now the New World

The Old Continent Is Now the New World

How an ESG revolution is transforming European investment opportunities

By Tobias Mueller

Tobias Mueller Regional Portfolio Manager

June 2022 / MARKET OUTLOOK

Transitioning to a New Paradigm

Transitioning to a New Paradigm

Transitioning to a New Paradigm

Adjusting to an uncertain future

By Arif Husain, Sébastien Page & Justin Thomson

By Arif Husain, Sébastien Page & Justin Thomson

June 2022 / VIDEO

2022 Midyear Market Outlook summary

2022 Midyear Market Outlook summary

2022 Midyear Market Outlook summary

The pandemic has left economic scars, fueling inflationary pressures not seen in...

By Ritu Vohora

Ritu Vohora Investment Specialist, Capital Markets

June 2022 / WEBINAR

Webinar: 2022 Midyear Market Outlook

Webinar: 2022 Midyear Market Outlook

Webinar: 2022 Midyear Market Outlook

Are we transitioning to a new investing paradigm?

By Arif Husain, Sébastien Page & Justin Thomson

By Arif Husain, Sébastien Page & Justin Thomson

June 2022 / MARKET OUTLOOK

Flexible Fixed Income

Flexible Fixed Income

Flexible Fixed Income

Bonds struggled to diversify against equity risk in the first half of the year, so...

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2022 / MARKET OUTLOOK

In a More Uncertain Environment, Focus on Fundamentals

In a More Uncertain Environment, Focus on Fundamentals

In a More Uncertain Environment, Focus on...

Maintaining perspective on long-term opportunities

By Archibald Ciganer

Archibald Ciganer Investment Analyst

June 2022 / MARKET OUTLOOK

Fundamentals Matter

Fundamentals Matter

Fundamentals Matter

With earnings growth likely to decelerate and interest rates rising, what opportunities...

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2022 / MARKET OUTLOOK

Navigating Challenging Currents

Navigating Challenging Currents

Navigating Challenging Currents

How can investors respond to the risks of recession in Europe and the US and a further...

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2022 / MARKET OUTLOOK

Managing Through Geopolitical Risks

Managing Through Geopolitical Risks

Managing Through Geopolitical Risks

Geopolitics will continue to be a key focus for investors in the second half, reinforcing...

By Arif Husain, Justin Thomson & Sébastien Page

By Arif Husain, Justin Thomson & Sébastien Page

June 2022 / MARKET OUTLOOK

Are the Clouds Set to Clear for Chinese Equities?

Are the Clouds Set to Clear for Chinese Equities?

Are the Clouds Set to Clear for Chinese Equities?

Embracing uncertainty and inefficiencies to focus on future drivers of growth

By Wenli Zheng

Wenli Zheng Portfolio Manager

June 2022 / INVESTMENT INSIGHTS

ESG Integration in Action—Circular Economies

ESG Integration in Action—Circular Economies

ESG Integration in Action—Circular Economies

How a circular model could support economic and population growth

By Maria Elena Drew & Donna Anderson

By Maria Elena Drew & Donna Anderson

June 2022 / INVESTMENT INSIGHTS

Analyzing the Case for Asia Credit Bonds

Analyzing the Case for Asia Credit Bonds

Analyzing the Case for Asia Credit Bonds

An attractive combination of risk and return

By Sheldon Chan

Sheldon Chan Portfolio Manager

June 2022 / INVESTMENT INSIGHTS

This Time, the U.S. Value Rotation May Have Longevity

This Time, the U.S. Value Rotation May Have Longevity

This Time, the U.S. Value Rotation May Have...

More persistent inflation and rising interest rates change the landscape

By Gabriel Solomon

Gabriel Solomon Co-Portfolio Manager

June 2022 / INVESTMENT INSIGHTS

Investing in Companies at the Start of the Runway

Investing in Companies at the Start of the Runway

Investing in Companies at the Start of the...

We focus on firms that we believe have years of strong growth potential ahead

By Alan Tu

Alan Tu Portfolio Manager

June 2022 / INVESTMENT INSIGHTS

A Flexible Bond Approach to Help Navigate Volatile Markets

A Flexible Bond Approach to Help Navigate Volatile Markets

A Flexible Bond Approach to Help Navigate...

How the T. Rowe Price Funds SICAV–Dynamic Global Bond Fund¹ may help during this...

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

June 2022 / INVESTMENT INSIGHTS

Why We Have Become More Favorable on Duration

Why We Have Become More Favorable on Duration

Why We Have Become More Favorable on Duration

Key indicators suggest that yields have peaked

By Andrew McCormick & Stephen L. Bartolini

By Andrew McCormick & Stephen L. Bartolini

June 2022 / INVESTMENT INSIGHTS

The Case for China Remains Strong

The Case for China Remains Strong

The Case for China Remains Strong

A more complex environment does not necessarily mean a less rewarding one

By Justin Thomson

Justin Thomson Head of International Equity and CIO

June 2022 / INTERNATIONAL EQUITIES

China Is an Outlier in a COVID-Accepting World

China Is an Outlier in a COVID-Accepting World

China Is an Outlier in a COVID-Accepting...

Beijing remains cautious about a near-term policy shift

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

June 2022 / VIDEO

What Lies Ahead for Emerging Markets?

What Lies Ahead for Emerging Markets?

What Lies Ahead for Emerging Markets?

Emerging markets face a mixed outlook: While Asia’s prospects look favourable, other...

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

May 2022 / INVESTMENT INSIGHTS

Keeping a Steady Hand in Uncertain Times

Keeping a Steady Hand in Uncertain Times

Keeping a Steady Hand in Uncertain Times

Volatility has not shaken our focus on long-term fundamentals

By Paul Greene

Paul Greene Portfolio Manager

May 2022 / INVESTMENT INSIGHTS

The Road to Net Zero

The Road to Net Zero

The Road to Net Zero

How the world is moving forward on emissions reduction

By Maria Elena Drew

Maria Elena Drew Director of Research, Responsible Investing

May 2022 / VIDEO

What a Rough Quarter for Bonds Means for Asset Allocators

What a Rough Quarter for Bonds Means for Asset Allocators

What a Rough Quarter for Bonds Means for...

The bond market had a rough start to 2022, but Treasuries could be defensive in a...

By Sébastien Page & Timothy C. Murray

By Sébastien Page & Timothy C. Murray

May 2022 / INVESTMENT INSIGHTS

Navigating a Challenging Environment for Growth Stocks

Navigating a Challenging Environment for Growth Stocks

Navigating a Challenging Environment for...

We are positioned relatively defensively amid rate headwinds

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager

May 2022 / MARKETS & ECONOMY

No, We Are Not About to Return to 1970s-Style Inflation

No, We Are Not About to Return to 1970s-Style Inflation

No, We Are Not About to Return to 1970s-Style...

Today’s central banks are willing and able to tackle the problem

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

May 2022 / VIDEO

A Labor Demand and Supply Imbalance Challenges the Fed

A Labor Demand and Supply Imbalance Challenges the Fed

A Labor Demand and Supply Imbalance Challenges...

Labor demand has considerably outpaced supply, but the job market tightness can ease...

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

May 2022 / VIDEO

Big Pharma: Navigating a Golden Age of Innovation

Big Pharma: Navigating a Golden Age of Innovation

Big Pharma: Navigating a Golden Age of Innovation

Investors should focus on trends in the duration and diversity of a large-cap biopharma...

By Jeffrey Holford

Jeffrey Holford Investment Analyst

May 2022 / GLOBAL ASSET ALLOCATION

Global Asset Allocation: May Insights

Global Asset Allocation: May Insights

Global Asset Allocation: May Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

May 2022 / INVESTMENT INSIGHTS

Five Factors Why 2022 Bond Rout May Reverse

Five Factors Why 2022 Bond Rout May Reverse

Five Factors Why 2022 Bond Rout May Reverse

Global fixed income investors have not endured a rout like this since official data...

May 2022 / MARKETS & ECONOMY

Emerging Economies and Their Race to Net Zero

Emerging Economies and Their Race to Net Zero

Emerging Economies and Their Race to Net...

Curbing carbon pollution has become a global imperative. What’s in it for emerging...

By Michael Ganske

Michael Ganske Portfolio Specialist

May 2022 / SEARCH FOR YIELD

Not All Currencies Are Made Equal, So Don’t Treat Them as Such

Not All Currencies Are Made Equal, So Don’t Treat Them as Such

Not All Currencies Are Made Equal, So Don’t...

Selective currency hedging may boost yields and add stability

By Michael Walsh

Michael Walsh Multi‑Asset Solutions Strategist

May 2022 / MARKETS & ECONOMY

The Russia-Ukraine War Will Bring Europe to the Brink of Recession

The Russia-Ukraine War Will Bring Europe to the Brink of Recession

The Russia-Ukraine War Will Bring Europe...

Mitigating factors may still prevent it, however

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

April 2022 / INVESTMENT INSIGHTS

Q&A With Justin Thomson

Q&A With Justin Thomson

Q&A With Justin Thomson

T. Rowe Price’s CIO for International Equities

By Justin Thomson

Justin Thomson Head of International Equity and CIO

April 2022 / INVESTMENT INSIGHTS

Three Harbingers Point to a U.S. Recession

Three Harbingers Point to a U.S. Recession

Three Harbingers Point to a U.S. Recession

History suggests it may not be imminent, however.

By Multiple Authors

By Multiple Authors

April 2022 / INVESTMENT INSIGHTS

Asset Allocation in the Era of High Inflation

Asset Allocation in the Era of High Inflation

Asset Allocation in the Era of High Inflation

Responding to changing growth and inflation dynamics

By Wenting Shen

Wenting Shen Solutions Strategist

April 2022 / SEARCH FOR YIELD

Balancing Yield With Portfolio Stability

Balancing Yield With Portfolio Stability

Balancing Yield With Portfolio Stability

Understanding an asset’s growth and defensive qualities is key

By Michael Walsh

Michael Walsh Solutions Strategist

April 2022 / INVESTMENT INSIGHTS

Active Stock Choices Are Key in Volatile Times

Active Stock Choices Are Key in Volatile Times

Active Stock Choices Are Key in Volatile...

Steering through complex dynamics within global equities

By Scott Berg

Scott Berg Portfolio Manager

April 2022 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: April Insights

Global Asset Allocation: April Insights

Global Asset Allocation: April Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

April 2022 / INVESTMENT INSIGHTS

High Yield Bonds Could Prove Resilient as Inflation Surges

High Yield Bonds Could Prove Resilient as Inflation Surges

High Yield Bonds Could Prove Resilient as...

Shorter durations, higher yields could provide a buffer as rates rise

By Kevin Loome & Ashley Wiersma

By Kevin Loome & Ashley Wiersma

April 2022 / MULTI-ASSET OUTLOOK

2022 Capital Market Assumptions: a five-year perspective

2022 Capital Market Assumptions: a five-year perspective

2022 Capital Market Assumptions: a five-year...

Heading into 2022, valuations for most asset classes appear full - particularly equity...

By T. Rowe Price

T. Rowe Price

April 2022 / INVESTMENT INSIGHTS

A Closer Look at Inflation and the “Value Rally”

A Closer Look at Inflation and the “Value Rally”

A Closer Look at Inflation and the “Value...

Discovering new ideas that deliver value

By David J. Eiswert

David J. Eiswert Portfolio Manager

April 2022 / SEARCH FOR YIELD

Investing Globally May Boost Yields as Rates Rise

Investing Globally May Boost Yields as Rates Rise

Investing Globally May Boost Yields as Rates...

Home bias could mean key opportunities are missed

By Michael Walsh

Michael Walsh Solutions Strategist

April 2022 / INVESTMENT INSIGHTS

Parallels to the 1973 Market Shocks May Be Imprecise

Parallels to the 1973 Market Shocks May Be Imprecise

Parallels to the 1973 Market Shocks May Be...

Recession in U.S. appears unlikely amid reopening economy.

By Sébastien Page & Cesare Buiatti

By Sébastien Page & Cesare Buiatti

April 2022 / INVESTMENT INSIGHTS

Why It’s Not Yet Time to Add Credit Risk

Why It’s Not Yet Time to Add Credit Risk

Why It’s Not Yet Time to Add Credit Risk

Despite cheaper valuations, a rally does not seem imminent

By Kenneth A. Orchard

Kenneth A. Orchard Head of International Fixed Income

April 2022 / MARKETS & ECONOMY

Most Central Banks Have No Choice But to Remain Hawkish

Most Central Banks Have No Choice But to Remain Hawkish

Most Central Banks Have No Choice But to...

Few have the scope to loosen policy if economic conditions worsen

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

March 2022 / POLICY INSIGHTS

U.S. Fiscal Stimulus: Takeaways for Investors

U.S. Fiscal Stimulus: Takeaways for Investors

U.S. Fiscal Stimulus: Takeaways for Investors

Timing, scale, and targets of new spending are key considerations.

By Katie Elizabeth Deal

Katie Elizabeth Deal Washington Analyst U.S. Equity Division

March 2022 / MARKETS & ECONOMY

Making Sense of the Sell-Off, Then Rally in Chinese ADRs

Making Sense of the Sell-Off, Then Rally in Chinese ADRs

Making Sense of the Sell-Off, Then Rally...

Concerns about delistings on U.S. exchanges appear to be overblown

By T. Rowe Price

T. Rowe Price

March 2022 / INVESTMENT INSIGHTS

How We Are Navigating Upheaval in Energy Markets

How We Are Navigating Upheaval in Energy Markets

How We Are Navigating Upheaval in Energy...

Long-term fundamentals continue to guide our investment approach.

By Shinwoo Kim

Shinwoo Kim Portfolio Manager

March 2022 / INVESTMENT INSIGHTS

A Determined Federal Reserve Prepares for Tightening Cycle

A Determined Federal Reserve Prepares for Tightening Cycle

A Determined Federal Reserve Prepares for...

We anticipate continued Treasury yield curve flattening.

By Stephen L. Bartolini & Steve Boothe

By Stephen L. Bartolini & Steve Boothe

March 2022 / VIDEO

How We’re Positioned Against Heightened Market Risks

How We’re Positioned Against Heightened Market Risks

How We’re Positioned Against Heightened Market...

Russia’s invasion of Ukraine has heightened market risk following an already volatile...

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

March 2022 / MARKET EVENTS

Understanding the Potential for Defaults in Russian Bonds

Understanding the Potential for Defaults in Russian Bonds

Understanding the Potential for Defaults...

The latest developments add to Russia’s negative economic outlook.

By Benjamin Robins

Benjamin Robins Portfolio Specialist

March 2022 / MARKETS & ECONOMY

The Fed Embarks on a Hiking Campaign to Counter Inflation

The Fed Embarks on a Hiking Campaign to Counter Inflation

The Fed Embarks on a Hiking Campaign to Counter...

High commodity prices, geopolitical risks complicate the Fed’s path

By Blerina Uruçi

Blerina Uruçi Chief U.S. Economist

March 2022 / INVESTMENT INSIGHTS

For or Against? The Year in Shareholder Resolutions—2021

For or Against? The Year in Shareholder Resolutions—2021

For or Against? The Year in Shareholder Resolution...

With environmental and social proposals in the spotlight, case-by-case insights were...

By Donna Anderson & Jocelyn Brown

By Donna Anderson & Jocelyn Brown

March 2022 / INVESTMENT INSIGHTS

Long-Dated Credit Can Boost Returns in a Tightening Environment

Long-Dated Credit Can Boost Returns in a Tightening Environment

Long-Dated Credit Can Boost Returns in a...

Shorter-dated bonds are typically hit harder by rising inflation and low growth.

By Kenneth A. Orchard & Onur Uncu

By Kenneth A. Orchard & Onur Uncu

March 2022 / INVESTMENT INSIGHTS

Assessing the ESG Implications of Russia’s Invasion of Ukraine

Assessing the ESG Implications of Russia’s Invasion of Ukraine

Assessing the ESG Implications of Russia’s...

Pressure to reduce dependence on Russian gas could expedite Europe’s energy transition

By Maria Elena Drew

Maria Elena Drew Director of Research, Responsible Investing

March 2022 / ASSET ALLOCATION VIEWPOINT

Global Asset Allocation: March Insights

Global Asset Allocation: March Insights

Global Asset Allocation: March Insights

Discover the latest global market themes

By T. Rowe Price

T. Rowe Price

March 2022 / MARKETS & ECONOMY

Reports of a Looming Recession May Be Exaggerated

Reports of a Looming Recession May Be Exaggerated

Reports of a Looming Recession May Be Exaggerated

The global economy is probably more resilient than you think.

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

March 2022 / INVESTMENT INSIGHTS

Implications of the Removal of Russia From MSCI Indices

Implications of the Removal of Russia From MSCI Indices

Implications of the Removal of Russia From...

Russian shares to be removed from MSCI indices due to market accessibility issues.

By T. Rowe Price

T. Rowe Price

March 2022 / INVESTMENT INSIGHTS

Key Developments to Watch in the Russia-Ukraine Crisis

Key Developments to Watch in the Russia-Ukraine Crisis

Key Developments to Watch in the Russia-Ukraine...

The impact of sanctions and rising commodity prices are in focus

By Ulle Adamson, Peter Botoucharov & Samy Muaddi

By Ulle Adamson, Peter Botoucharov & Samy Muaddi

March 2022 / EMERGING MARKETS

A Q&A Session With Ernest Yeung

A Q&A Session With Ernest Yeung

A Q&A Session With Ernest Yeung

Attractive opportunities for active investors in EM stocks.

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager, Emerging Markets Discovery Equity Strategy

March 2022 / INVESTMENT INSIGHTS

A Determined Federal Reserve Prepares for Tightening Cycle

A Determined Federal Reserve Prepares for Tightening Cycle

A Determined Federal Reserve Prepares for...

We anticipate continued Treasury yield curve flattening.

By Stephen L. Bartolini & Steve Boothe

By Stephen L. Bartolini & Steve Boothe

March 2022 / VIDEO

Russia-Ukraine Crisis – Investment Implications

Russia-Ukraine Crisis – Investment Implications

Russia-Ukraine Crisis – Investment Implications

Webinar Replay with Arif Husain, Head of International Fixed Income and CIO

By Multiple Authors

By Multiple Authors

March 2022 / INVESTMENT INSIGHTS

The Market Implications of the Conflict in Ukraine

The Market Implications of the Conflict in Ukraine

The Market Implications of the Conflict in...

Central banks face a more difficult task tackling inflation.

By Andrew McCormick

Andrew McCormick Head of Fixed Income and CIO

February 2022 / INVESTMENT INSIGHTS

What’s Behind the Market Volatility, and What We’re Watching Next

What’s Behind the Market Volatility, and What We’re Watching Next

What’s Behind the Market Volatility, and...

Further price fluctuations loom amid Fed hikes, inflation, and post-pandemic shifts.

By Sébastien Page, Justin Thomson & Mark J. Vaselkiv

By Sébastien Page, Justin Thomson & Mark J. Vaselkiv

February 2022 / INVESTMENT INSIGHTS

Another PULSe Indicator Spike in Q4 2021

Another PULSe Indicator Spike in Q4 2021

Another PULSe Indicator Spike in Q4 2021

But the factor divide continues

By Thomas Poullaouec, Nathan Wang & David Clewell

By Thomas Poullaouec, Nathan Wang & David Clewell

February 2022 / GLOBAL FIXED INCOME

Helping Global Bond Investors When Duration Fails

Helping Global Bond Investors When Duration Fails

Helping Global Bond Investors When Duration...

Strategies to reduce potential duration-led losses.

By Joran Laird

Joran Laird Portfolio Specialist

February 2022 / VIDEO

The Case for China and Investing in Chinese Securities

The Case for China and Investing in Chinese Securities

The Case for China and Investing in Chinese...

Rob Sharps' Macro Outlook discussing opportunities in China.

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

February 2022 / INVESTMENT INSIGHTS

Restored Supply Chains Should Propel a Eurozone Recovery

Restored Supply Chains Should Propel a Eurozone Recovery

Restored Supply Chains Should Propel a Eurozone...

Higher yields and a stronger euro are likely

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

February 2022 / MARKETS & ECONOMY

There Will Be Turbulence

There Will Be Turbulence

There Will Be Turbulence

Why this Fed hiking cycle looks different

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

February 2022 / INVESTMENT INSIGHTS

Rethinking Fixed Income Allocations

Rethinking Fixed Income Allocations

Rethinking Fixed Income Allocations

Sourcing strategies with varying risk and return drivers is key

By Saurabh Sud, Lowell Yura & Gregor T. Dannacher

By Saurabh Sud, Lowell Yura & Gregor T. Dannacher

February 2022 / WEBINAR

Webinar Replay: Fixed Income 2022: Nowhere to Hide?

Webinar Replay: Fixed Income 2022: Nowhere to Hide?

Webinar Replay: Fixed Income 2022: Nowhere...

Why fixed income needs a fresh approach

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

February 2022 / MARKET OUTLOOK

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Global Asset Allocation: The View From Europe

Discover the latest global market themes.

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

February 2022 / GLOBAL FIXED INCOME

Why Fixed Income Investors Should Think Differently in 2022

Why Fixed Income Investors Should Think Differently in 2022

Why Fixed Income Investors Should Think Differentl...

Higher rates and more volatility demand a flexible approach.

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

February 2022 / GLOBAL FIXED INCOME

Unlocking Impact Outside of ESG-Labeled Debt

Unlocking Impact Outside of ESG-Labeled Debt

Unlocking Impact Outside of ESG-Labeled Debt

Driving real change means investors should look beyond the label.

By Matthew Lawton

Matthew Lawton Portfolio Manager

February 2022 / MARKETS & ECONOMY

Putting the Fed’s Planned Rate Hikes into Context

Putting the Fed’s Planned Rate Hikes into Context

Putting the Fed’s Planned Rate Hikes into...

History shows that Fed hikes alone tend not to derail markets.

By Multiple Authors

By Multiple Authors

February 2022 / U.S. EQUITIES

Focused on Fundamentals in an Unsettled Market

Focused on Fundamentals in an Unsettled Market

Focused on Fundamentals in an Unsettled Market

Discerning the durable from the temporary is key to our process.

By Paul Greene

Paul Greene Portfolio Manager

February 2022 / BLOG

In With a Whimper, Out With a Bang

In With a Whimper, Out With a Bang

In With a Whimper, Out With a Bang

The investment story of 2022 will be tactical bear, structural bull

By Nikolaj Schmidt

Nikolaj Schmidt Chief International Economist

February 2022 / INVESTMENT INSIGHTS

Why Impact Investing Needs Public Debt Markets

Why Impact Investing Needs Public Debt Markets

Why Impact Investing Needs Public Debt Markets

Their size and diversified nature can foster long-term change

By Matthew Lawton

Matthew Lawton Portfolio Manager

January 2022 / VIDEO

The Market Implications of Omicron’s Swift Surge

The Market Implications of Omicron’s Swift Surge

The Market Implications of Omicron’s Swift...

Omicron is significant, but it’s likely to move on swiftly without a large drag on...

By Sébastien Page

Sébastien Page Head of Global Multi-Asset and CIO

January 2022 / INVESTMENT INSIGHTS

Investment ideas for the next 12 months

Investment ideas for the next 12 months

Investment ideas for the next 12 months

Our Multi-Asset Solutions Team share a range of investment ideas to position portfolios...

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

January 2022 / EMERGING MARKETS EQUITY

China Deleveraging: Domestic and Global Impacts

China Deleveraging: Domestic and Global Impacts

China Deleveraging: Domestic and Global Impacts...

A multi-year path to reducing financial risk & improving credit allocation.

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

January 2022 / MARKET OUTLOOK

Global Asset Allocation: January Insights

Global Asset Allocation: January Insights

Global Asset Allocation: January Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

January 2022 / WEBINAR

Innovation and Capital Markets Considerations

Innovation and Capital Markets Considerations

Innovation and Capital Markets Considerations

China’s investment landscape is constantly evolving and relatively inefficient

By Wenli Zheng

Wenli Zheng Portfolio Manager

January 2022 / WEBINAR

Regulations and The Road to a More Developed Economy

Regulations and The Road to a More Developed Economy

Regulations and The Road to a More Developed...

Recent headlines out of China have captured the attention and fear of many investors

By Wenli Zheng & Christopher J. Kushlis

By Wenli Zheng & Christopher J. Kushlis

January 2022 / INVESTMENT INSIGHTS

EM Currencies Can Boost Bond Portfolios Amid Rising Inflation

EM Currencies Can Boost Bond Portfolios Amid Rising Inflation

EM Currencies Can Boost Bond Portfolios Amid...

Currencies of commodity-exporting countries are particularly attractive

By Kenneth A. Orchard & Onur Uncu

By Kenneth A. Orchard & Onur Uncu

December 2021 / VIDEO

Three Contrarian Investing Views on China, Stagflation, Supply Chains

Three Contrarian Investing Views on China, Stagflation, Supply Chains

Three Contrarian Investing Views on China,...

We think the market’s consensus on stagflation, supply chain shortages, and China...

By Richard de los Reyes

Richard de los Reyes Portfolio Manager

December 2021 / INVESTMENT INSIGHTS

Investment ideas for European investors for the year ahead

Investment ideas for European investors for the year ahead

Investment ideas for European investors for...

Our Multi-Asset Solutions Team share a range of investment ideas to position portfolios...

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

December 2021 / INVESTMENT INSIGHTS

China Evolution Equity: Unique Exposure to the China Opportunity Set

China Evolution Equity: Unique Exposure to the China Opportunity Set

China Evolution Equity: Unique Exposure to...

The Chinese economy is rich, deep and wide-ranging

By Irmak Surenkok & Robert Secker

By Irmak Surenkok & Robert Secker

December 2021 / INVESTMENT INSIGHTS

A Digital U.S. Dollar Will Strengthen the Currency’s Global Dominance

A Digital U.S. Dollar Will Strengthen the Currency’s Global Dominance

A Digital U.S. Dollar Will Strengthen the...

A Fed-backed CBDC will dwarf those of other countries

By Tomasz Wieladek & Aadish Kumar

By Tomasz Wieladek & Aadish Kumar

December 2021 / INVESTMENT INSIGHTS

Germany’s Coalition Agreement Should Stimulate Growth and Inflation

Germany’s Coalition Agreement Should Stimulate Growth and Inflation

Germany’s Coalition Agreement Should Stimulate...

The new government will likely show more flexibility on EU-wide issues.

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

December 2021 / MARKET OUTLOOK

Global Asset Allocation: December podcast

Global Asset Allocation: December podcast

Global Asset Allocation: December podcast

Discover the latest global market themes

By Michael Walsh

Michael Walsh Solutions Strategist

December 2021 / VIDEO

Key Takeaways from GMO 2022

Key Takeaways from GMO 2022

Key Takeaways from GMO 2022

Key Takeaways from GMO 2022

By Ritu Vohora

Ritu Vohora Investment Specialist, Capital Markets

December 2021 / MARKETS & ECONOMY

The Great Inflation Debate

The Great Inflation Debate

The Great Inflation Debate

Have we entered a new era?

By Justin Thomson

Justin Thomson Head of International Equity and CIO

December 2021 / WEBINAR

2022 Global Market Outlook Webinar

2022 Global Market Outlook Webinar

2022 Global Market Outlook Webinar

Hear directly from our investment leaders as they discuss four top investment themes...

By Multiple Authors

By Multiple Authors

December 2021 / MARKET OUTLOOK

Global Asset Allocation: December Insights

Global Asset Allocation: December Insights

Global Asset Allocation: December Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

December 2021 / GLOBAL MARKET OUTLOOK

Playbook for a Shifting Economic Landscape

Playbook for a Shifting Economic Landscape

Playbook for a Shifting Economic Landscape

Looking for Growth in Challenging Markets

By Sébastien Page, Justin Thomson & Mark J. Vaselkiv

By Sébastien Page, Justin Thomson & Mark J. Vaselkiv

December 2021 / INVESTMENT INSIGHTS

A Disciplined Investment Approach in Pursuit of Compounding

A Disciplined Investment Approach in Pursuit of Compounding

A Disciplined Investment Approach in Pursuit...

Avoid complacency when seeking to buy and hold durable growers

By Paul Greene

Paul Greene Portfolio Manager

December 2021 / GLOBAL MARKET OUTLOOK

Asia ex‑Japan 2022 Market Outlook

Asia ex‑Japan 2022 Market Outlook

Asia ex‑Japan 2022 Market Outlook

Risk/reward looks attractive for Asia ex‑Japan equities.

By Anh Lu

Anh Lu Portfolio Manager

December 2021 / GLOBAL MARKET OUTLOOK

China Market Outlook 2022

China Market Outlook 2022

China Market Outlook 2022

Attractive opportunities amid China’s fast-changing environment.

By Wenli Zheng

Wenli Zheng Portfolio Manager, China Evolution Equity Portfolio

December 2021 / INVESTMENT INSIGHTS

Weighing up China's Green Credentials amid Policy Shift

Weighing up China's Green Credentials amid Policy Shift

Weighing up China's Green Credentials amid...

China’s rapid pace of industrialisation and economic growth has been extraordinary...

By Irmak Surenkok & Robert Secker

By Irmak Surenkok & Robert Secker

December 2021 / VIDEO

Global Equities: Thoughts from a Value Investor

Global Equities: Thoughts from a Value Investor

Global Equities: Thoughts from a Value Investor

Where are the value opportunities today and how will the environment evolve in 2022?

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

December 2021 / GLOBAL MARKET OUTLOOK

2022 Outlook—Prospects for Japan Look Bright

2022 Outlook—Prospects for Japan Look Bright

2022 Outlook—Prospects for Japan Look Bright

Highly open market expected to benefit from global economic recovery.

By Archibald Ciganer

Archibald Ciganer Investment Analyst

November 2021 / FIXED INCOME

Three Great Careers

Three Great Careers

Three Great Careers

Fixed income veterans at T. Rowe Price look back after 30 years in the business

By T. Rowe Price

T. Rowe Price

November 2021 / FIXED INCOME

Believe in the People

Believe in the People

Believe in the People

Fixed income veterans at T. Rowe Price look back after 30 years in the business

By T. Rowe Price

T. Rowe Price

November 2021 / INVESTMENT INSIGHTS

The Bond Market Has Woken From a Deep Slumber

The Bond Market Has Woken From a Deep Slumber

The Bond Market Has Woken From a Deep Slumber

Heightened volatility reflects a changed reality.

By Multiple Authors

By Multiple Authors

November 2021 / INVESTMENT INSIGHTS

U.S. Infrastructure Bill Could Strengthen Secular Trends

U.S. Infrastructure Bill Could Strengthen Secular Trends

U.S. Infrastructure Bill Could Strengthen...

Investors should remain selective and focus on fundamentals.

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

November 2021 / MARKET OUTLOOK

Global Asset Allocation: November podcast

Global Asset Allocation: November podcast

Global Asset Allocation: November podcast

Discover the latest global market themes

By Michael Walsh

Michael Walsh Solutions Strategist

November 2021 / VIDEO

COP26 Conference–Outcomes, Agreements, and Investment Implications

COP26 Conference–Outcomes, Agreements, and Investment Implications

COP26 Conference–Outcomes, Agreements, and...

With the COP26 Conference in Glasgow now concluded, we look at the key outcomes and...

By Maria Elena Drew

Maria Elena Drew Director of Research, Responsible Investing

November 2021 / INVESTMENT INSIGHTS

Central Banks Diverge in Response to Inflation

Central Banks Diverge in Response to Inflation

Central Banks Diverge in Response to Inflation

How differences are creating opportunities in fixed income

By Multiple Authors

By Multiple Authors

November 2021 / FIXED INCOME

Rising Yields Present a Familiar Challenge in a New Era

Rising Yields Present a Familiar Challenge in a New Era

Rising Yields Present a Familiar Challenge...

Inflation concerns are highest in decades.

By Kenneth A. Orchard & Onur Uncu

By Kenneth A. Orchard & Onur Uncu

November 2021 / FIXED INCOME

'Shoulda, woulda, coulda'

'Shoulda, woulda, coulda'

'Shoulda, woulda, coulda'

Looking back on 33 years in fixed income at T. Rowe Price, what would I do differently?

By Mark J. Vaselkiv

Mark J. Vaselkiv Chief Investment Officer, Fixed Income

November 2021 / GLOBAL EQUITIES

Higher Oil Prices Unlikely to Prove Sustainable

Higher Oil Prices Unlikely to Prove Sustainable

Higher Oil Prices Unlikely to Prove Sustainable

Supply response and productivity gains should pressure prices.

By Shinwoo Kim

Shinwoo Kim Portfolio Manager

November 2021 / MULTI-ASSET STRATEGY

Benchmark Aware or Agnostic?

Benchmark Aware or Agnostic?

Benchmark Aware or Agnostic?

A practical guide on which investment approach may best suit you.

By Thomas Poullaouec

Thomas Poullaouec Head of Multi-Asset Solutions APAC

November 2021 / ECONOMICS

China Remains Compelling Despite Regulatory Upheavals

China Remains Compelling Despite Regulatory Upheavals

China Remains Compelling Despite Regulatory...

Understanding the government’s social agenda is key

By Christopher J. Kushlis & Justin Thomson

By Christopher J. Kushlis & Justin Thomson

November 2021 / MARKET OUTLOOK

Global Asset Allocation: November Insights

Global Asset Allocation: November Insights

Global Asset Allocation: November Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

November 2021 / INVESTMENT INSIGHTS

Change in Political Leadership and the Outlook for Japan

Change in Political Leadership and the Outlook for Japan

Change in Political Leadership and the Outlook...

Prospects for stocks look bright amid expected policy continuity

By Archibald Ciganer

Archibald Ciganer Investment Analyst

November 2021 / INVESTMENT INSIGHTS

Are You Positioned on the Right Side of Change in China

Are You Positioned on the Right Side of Change in China

Are You Positioned on the Right Side of Change...

China has been one of the fastest recovering economies since the onset of the global...

By Irmak Surenkok & Robert Secker

By Irmak Surenkok & Robert Secker

November 2021 / INVESTMENT INSIGHTS

Rising Inflation Risk and How to Address It

Rising Inflation Risk and How to Address It

Rising Inflation Risk and How to Address...

Inflation risk can be mitigated by using inflation-linked bonds, cyclical assets,...

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

November 2021 / DEFINED CONTRIBUTION

Three Tips for Evaluating Target Date Solutions

Three Tips for Evaluating Target Date Solutions

Three Tips for Evaluating Target Date Solutions

Helping plan sponsors identify solutions fit for purpose.

By Wyatt Lee & Zachary Rayfield

By Wyatt Lee & Zachary Rayfield

November 2021 / FIXED INCOME

Rich Valuations Balance Healthy Credit in Global High Yield

Rich Valuations Balance Healthy Credit in Global High Yield

Rich Valuations Balance Healthy Credit in...

Credit analysis can expose value even amid tight credit spreads

By Michael Connelly

Michael Connelly Portfolio Manager

November 2021 / INVESTMENT INSIGHTS

Taking the Temperature on Climate-Related Shareholder Proposals

Taking the Temperature on Climate-Related Shareholder Proposals

Taking the Temperature on Climate-Related...

Complexity and variability of resolutions demand a measured approach to voting.

By Jocelyn Brown & Duncan Scott

By Jocelyn Brown & Duncan Scott

November 2021 / MARKET OUTLOOK

Growth Delayed but Not Derailed

Growth Delayed but Not Derailed

Growth Delayed but Not Derailed

Opportunities still lie ahead for firms and investors

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

November 2021 / OUTLOOK

The Three Dynamics Shaping a Promising Outlook for Europe

The Three Dynamics Shaping a Promising Outlook for Europe

The Three Dynamics Shaping a Promising Outlook...

Innovation, sustainability, and the market cycle create distinct opportunities.

By Tobias Mueller

Tobias Mueller Portfolio Manager, T. Rowe Price European Select Equity Strategy

November 2021 / MARKET OUTLOOK

How ESG Helps Make Us Better Value Investors

How ESG Helps Make Us Better Value Investors

How ESG Helps Make Us Better Value Investors

Advantages of incorporating ESG factors into company analysis

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

November 2021 / INVESTMENT INSIGHTS

The Inside Story: Two EM Consumer Ideas

The Inside Story: Two EM Consumer Ideas

The Inside Story: Two EM Consumer Ideas

A look behind the scenes at key ideas in the Emerging Market Corporate Bond portfolio

By Siby Thomas

Siby Thomas Portfolio Manager

November 2021 / BLOG

Volatility Looms as Support Is Withdrawn

Volatility Looms as Support Is Withdrawn

Volatility Looms as Support Is Withdrawn

The supportive business cycle will likely provide opportunities, however.

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

November 2021 / MARKETS & ECONOMY

Banks Set to Play Critical Role in Climate Change Fight

Banks Set to Play Critical Role in Climate Change Fight

Banks Set to Play Critical Role in Climate...

Transition to a low-carbon economy brings lending risks and opportunities

By Maria Elena Drew & Joseph Baldwin

By Maria Elena Drew & Joseph Baldwin

October 2021 / MARKET OUTLOOK

Global Asset Allocation: October Insights

Global Asset Allocation: October Insights

Global Asset Allocation: October Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

October 2021 / FIXED INCOME

Exploiting the life cycle of an EM opportunity

Exploiting the life cycle of an EM opportunity

Exploiting the life cycle of an EM opportunity

A case study: Romania 2011 – 2015

By Peter Botoucharov

Peter Botoucharov Emerging Market Credit Analyst

October 2021 / FIXED INCOME

Serbia and the mystery of the 747s

Serbia and the mystery of the 747s

Serbia and the mystery of the 747s

Adventures in sovereign research

By Samy Muaddi

Samy Muaddi Head of Emerging Markets

October 2021 / INVESTMENT INSIGHTS

The U.S. Value Stock Rally—Expect a Shift to Quality

The U.S. Value Stock Rally—Expect a Shift to Quality

The U.S. Value Stock Rally—Expect a Shift...

Higher-quality value stocks set to lead the next stage

By Eric Papesh

Eric Papesh Portfolio Specialist

October 2021 / VIDEO

Inflation, Central Bank Policy, and the Implications for Emerging Marke...

Inflation, Central Bank Policy, and the Implications for Emerging Markets

Inflation, Central Bank Policy, and the Implicatio...

Find out why emerging market central banks are bucking the trend in terms of monetary...

By Benjamin Robins

Benjamin Robins Portfolio Specialist

October 2021 / INVESTMENT INSIGHTS

The Inside Story: Two Emerging TMT Ideas

The Inside Story: Two Emerging TMT Ideas

The Inside Story: Two Emerging TMT Ideas

Why we like an African mobile telecom tower operator and Brazil's leading TV programmer

By Siby Thomas

Siby Thomas Portfolio Manager

October 2021 / BLOG

Legislation Supporting Clean Energy Would Impact Key Sectors

Legislation Supporting Clean Energy Would Impact Key Sectors

Legislation Supporting Clean Energy Would...

Modernizing the electric grid is key for scaling up renewable power

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

October 2021 / INVESTMENT INSIGHTS

Demand Stimulus and Inflationary Pressures Loom for Post-Election Germa...

Demand Stimulus and Inflationary Pressures Loom for Post-Election Germany

Demand Stimulus and Inflationary Pressures...

The new government will likely prioritize social justice and green policies.

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

October 2021 / INVESTMENT INSIGHTS

Controlled Deflation of the China Property Debt Balloon

Controlled Deflation of the China Property Debt Balloon

Controlled Deflation of the China Property...

Beijing’s policy actions in the property sector seem to be containing any potential...

By Sheldon Chan & Anna Zhang

By Sheldon Chan & Anna Zhang

October 2021 / ENVIRONMENTAL, SOCIAL, AND GOVERNANCE

Innovations in Sustainability Are Reshaping the Future of Plastic

Innovations in Sustainability Are Reshaping the Future of Plastic

Innovations in Sustainability Are Reshaping...

Balancing health and environmental concerns with the material’s utility.

By Maria Elena Drew & Natalie McGowen

By Maria Elena Drew & Natalie McGowen

October 2021 / INVESTMENT INSIGHTS

Confronting the Challenges of Persistent Transitory Inflation

Confronting the Challenges of Persistent Transitory Inflation

Confronting the Challenges of Persistent...

How to position against potential inflation risks in fixed income.

By Multiple Authors

By Multiple Authors

September 2021 / INVESTMENT INSIGHTS

Innovations in Sustainability Are Reshaping the Future of Plastic

Innovations in Sustainability Are Reshaping the Future of Plastic

Innovations in Sustainability Are Reshaping...

Balancing health and environmental concerns with the material’s utility

By Maria Elena Drew & Natalie McGowen

By Maria Elena Drew & Natalie McGowen

September 2021 / INVESTMENT INSIGHTS

Regulatory Actions in China: Short-Term Pain, Long-Term Gain

Regulatory Actions in China: Short-Term Pain, Long-Term Gain

Regulatory Actions in China: Short-Term Pain,...

Beijing’s tightening grip bodes well for China Inc.'s health

By Sheldon Chan, Christopher J. Kushlis & Lee Sun

By Sheldon Chan, Christopher J. Kushlis & Lee Sun

September 2021 / INVESTMENT INSIGHTS

China: Why It Pays To Look For The Overlooked

China: Why It Pays To Look For The Overlooked

China: Why It Pays To Look For The Overlooked

China is an economy and market that is constantly changing.

By Irmak Surenkok

Irmak Surenkok Portfolio Specialist

September 2021 / VIDEO

The Three Drivers of Innovation in Biotech Stocks

The Three Drivers of Innovation in Biotech Stocks

The Three Drivers of Innovation in Biotech...

Innovation in the biotech industry is creating investment opportunities in stocks...

By John Hall

John Hall Investment Analyst

September 2021 / MARKETS & ECONOMY

UK Turns to Bold Post-Brexit Reforms to Boost Economy

UK Turns to Bold Post-Brexit Reforms to Boost Economy

UK Turns to Bold Post-Brexit Reforms to Boost...

Freedom to set finance and immigration policies may spur growth

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

September 2021 / MARKET OUTLOOK

Global Asset Allocation: September podcast

Global Asset Allocation: September podcast

Global Asset Allocation: September podcast

Discover the latest global market themes

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

September 2021 / INVESTMENT INSIGHTS

Why There’s More to China than Just Big Tech

Why There’s More to China than Just Big Tech

Why There’s More to China than Just Big Tech

Mainstream indices are a poor reference point for investors in China

By Irmak Surenkok & Robert Secker

By Irmak Surenkok & Robert Secker

September 2021 / INVESTMENT INSIGHTS

China - too big to ignore?

China - too big to ignore?

China - too big to ignore?

China’s development is recognised as one of the most important shifts in the global...

By Irmak Surenkok & Robert Secker

By Irmak Surenkok & Robert Secker

September 2021 / MARKETS & ECONOMY

Germany’s New Government Is Likely to Rewrite Economic Policy

Germany’s New Government Is Likely to Rewrite Economic Policy

Germany’s New Government Is Likely to Rewrite...

There will be a focus on green fiscal policy and redistribution

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

September 2021 / MARKETS & ECONOMY

The Return of Volatility May Signal a Buying Opportunity, Not a Bear...

The Return of Volatility May Signal a Buying Opportunity, Not a Bear Market

The Return of Volatility May Signal a Buying...

Why fluctuating asset prices need not cause alarm

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

September 2021 / MARKET OUTLOOK

Global Asset Allocation: September Insights

Global Asset Allocation: September Insights

Global Asset Allocation: September Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

13 September 2021 / MULTI-ASSET SOLUTIONS

Looming Lower Returns Demand Creative Multi-Asset Response

Looming Lower Returns Demand Creative Multi-Asset Response

Looming Lower Returns Demand Creative Multi-Asset...

Active management and a broad toolkit may be necessary

By Yoram Lustig, Michael Walsh & Niklas Jeschke

By Yoram Lustig, Michael Walsh & Niklas Jeschke

September 2021 / INVESTMENT INSIGHTS

The Cycle Where Are We Implications for Global Equity Investors

The Cycle Where Are We Implications for Global Equity Investors

The Cycle Where Are We Implications for Global...

Complex environments need active management to help steer portfolios in the right...

By David J. Eiswert

David J. Eiswert Portfolio Manager

September 2021 / VIDEO

China Evolution Strategy - Strategy Differentiators and Drivers

China Evolution Strategy - Strategy Differentiators and Drivers

China Evolution Strategy - Strategy Differentiator...

Wenli shares his approach to China Evolution Equity strategy and how he drives results

By Wenli Zheng

Wenli Zheng Portfolio Manager

September 2021 / VIDEO

China Evolution Strategy - Market Outlook

China Evolution Strategy - Market Outlook

China Evolution Strategy - Market Outlook

Wenli discusses market dynamics in China and where he sees opportunities

By Wenli Zheng

Wenli Zheng Portfolio Manager

September 2021 / VIDEO

China Evolution Strategy - Introduction

China Evolution Strategy - Introduction

China Evolution Strategy - Introduction

Wenli shares his philosophy behind the China Evolution Equity strategy

By Wenli Zheng

Wenli Zheng Portfolio Manager

September 2021 / MARKET OUTLOOK

Global Asset Allocation: August podcast

Global Asset Allocation: August podcast

Global Asset Allocation: August podcast

Discover the latest global market themes

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

August 2021 / INVESTMENT INSIGHTS

Is the Value Rally in Emerging Markets Sustainable?

Is the Value Rally in Emerging Markets Sustainable?

Is the Value Rally in Emerging Markets Sustainable...

Value investing is coming in from the cold

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager

August 2021 / INVESTMENT INSIGHTS

Blending Quant and Fundamental Portfolio Construction Inputs

Blending Quant and Fundamental Portfolio Construction Inputs

Blending Quant and Fundamental Portfolio...

The SSAG model provides a sector allocation framework

By Christopher P. Brown, Anna Dreyer & Kenneth A. Orchard

By Christopher P. Brown, Anna Dreyer & Kenneth A. Orchard

August 2021 / INVESTMENT INSIGHTS

ETFs in EM Local Currency Debt: Do they work?

ETFs in EM Local Currency Debt: Do they work?

ETFs in EM Local Currency Debt: Do they work?

A brief look at the performance of exchange traded funds in EM local currency sovereign...

By Michael Ganske

Michael Ganske Portfolio Specialist

17 August 2021 / EMERGING MARKETS

Is the Value Rally in Emerging Markets Sustainable?

Is the Value Rally in Emerging Markets Sustainable?

Is the Value Rally in Emerging Markets Sustainable...

Value investing is coming in from the cold.

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager

August 2021 / INVESTMENT INSIGHTS

The Inside Story: Tale of Two Energy Utilities

The Inside Story: Tale of Two Energy Utilities

The Inside Story: Tale of Two Energy Utilities

A look behind the scenes at key ideas in the Emerging Market Corporate Bond portfolio

By Siby Thomas

Siby Thomas Portfolio Manager

August 2021 / MARKET OUTLOOK

Global Asset Allocation: August Insights

Global Asset Allocation: August Insights

Global Asset Allocation: August Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

August 2021 / MARKETS & ECONOMY

How 2021 Is Shaping as an Epic Year for Climate Regulation

How 2021 Is Shaping as an Epic Year for Climate Regulation

How 2021 Is Shaping as an Epic Year for Climate...

Momentum on emissions targets builds ahead of COP26 conference

By Maria Elena Drew

Maria Elena Drew Director of Research, Responsible Investing

August 2021 / ASSET ALLOCATION VIEWPOINT

Sticking With Value

Sticking With Value

Sticking With Value

Despite strong fundamentals, growth stock valuations are extreme

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

August 2021 / POLICY INSIGHTS

Biden Signals Government-Wide Push to Promote Competition

Biden Signals Government-Wide Push to Promote Competition

Biden Signals Government-Wide Push to Promote...

But changing rules and laws isn’t easy and would take time

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

August 2021 / MARKETS & ECONOMY

How Digital Currencies Add Policy Potency for Emerging Markets

How Digital Currencies Add Policy Potency for Emerging Markets

How Digital Currencies Add Policy Potency...

More monetary policy control as rate decisions have a broader impact

By Tomasz Wieladek & Aadish Kumar

By Tomasz Wieladek & Aadish Kumar

August 2021 / MARKETS & ECONOMY

China Regulation—Opportunity May Lie in the Midst of Stock Sell-Off

China Regulation—Opportunity May Lie in the Midst of Stock Sell-Off

China Regulation—Opportunity May Lie in the...

We are assessing potential winners and losers amid new regulations in the education...

By Multiple Authors

By Multiple Authors

July 2021 / INVESTMENT INSIGHTS

How ESG Considerations are Reshaping Central Bank Mandates

How ESG Considerations are Reshaping Central Bank Mandates

How ESG Considerations are Reshaping Central...

Moving toward integrating social and environmental issues

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

July 2021 / MARKETS & ECONOMY

Central Bank Digital Currencies May Bring “Helicopter Money” Closer

Central Bank Digital Currencies May Bring “Helicopter Money” Closer

Central Bank Digital Currencies May Bring...

More efficient money transfers will likely bring down rates

By Tomasz Wieladek & Aadish Kumar

By Tomasz Wieladek & Aadish Kumar

July 2021 / INVESTMENT INSIGHTS

How Weighing ESG Risks Adds an Edge in EM Corporates

How Weighing ESG Risks Adds an Edge in EM Corporates

How Weighing ESG Risks Adds an Edge in EM...

Integrating ESG factors has the potential to provide a research edge

By Samy Muaddi

Samy Muaddi Head of Emerging Markets

July 2021 / INVESTMENT INSIGHTS

How to harness the emerging market ‘triple premium’

How to harness the emerging market ‘triple premium’

How to harness the emerging market ‘triple...

Compelling reasons why investors should consider a strategic allocation to emerging...

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

July 2021 / MARKETS & ECONOMY

Growth Stocks Unlikely to Be Troubled by Short-Term Inflation Spike

Growth Stocks Unlikely to Be Troubled by Short-Term Inflation Spike

Growth Stocks Unlikely to Be Troubled by...

A sharp rise in U.S. inflation is not expected to last

By Taymour Tamaddon

Taymour Tamaddon Portfolio Manager, US Large Cap Growth Equity Strategy

July 2021 / VIDEO

U.S. High Yield Bond Fund YTD to 30 April 2021

U.S. High Yield Bond Fund YTD to 30 April 2021

U.S. High Yield Bond Fund YTD to 30 April...

The flexibility and concentration of our portfolio enabled us to take advantage of...

By Gregor T. Dannacher

Gregor T. Dannacher U.S. High Yield Credit Analyst

July 2021 / INVESTMENT INSIGHTS

Cryptocurrencies May Transform Capital Markets

Cryptocurrencies May Transform Capital Markets

Cryptocurrencies May Transform Capital Markets

Speculation is extraordinary, but so is potential

By Robert W. Sharps & Sébastien Page

By Robert W. Sharps & Sébastien Page

July 2021 / INVESTMENT INSIGHTS

Why This “Value” Recovery May Have Only Just Begun

Why This “Value” Recovery May Have Only Just Begun

Why This “Value” Recovery May Have Only Just...

Economic recovery and earnings momentum set to sustain the rotation back to value

By Sebastien Mallet

Sebastien Mallet Portfolio Manager

July 2021 / MARKETS & ECONOMY

Into Choppier Waters

Into Choppier Waters

Into Choppier Waters

The serenity of equity markets is deceptive

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

July 2021 / INVESTMENT INSIGHTS

Global Asset Allocation: July Insights

Global Asset Allocation: July Insights

Global Asset Allocation: July Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

July 2021 / INVESTMENT INSIGHTS

How Far Are We in This Value Rotation?

How Far Are We in This Value Rotation?

How Far Are We in This Value Rotation?

A quantitative perspective

By Thomas Poullaouec & Nathan Wang

By Thomas Poullaouec & Nathan Wang

July 2021 / INVESTMENT INSIGHTS

A Moderating Outlook for Equities

A Moderating Outlook for Equities

A Moderating Outlook for Equities

Stock returns may be subdued, as key performance drivers peak

By Timothy C. Murray

Timothy C. Murray Capital Markets Strategist

July 2021 / INVESTMENT INSIGHTS

Japan Ups the Ante on Corporate Governance and Regulatory Reform

Japan Ups the Ante on Corporate Governance and Regulatory Reform

Japan Ups the Ante on Corporate Governance...

Revised governance codes provide framework for corporate improvement

By Archibald Ciganer

Archibald Ciganer Investment Analyst

June 2021 / MARKETS & ECONOMY

The Eurozone Faces an Inflation Roller Coaster

The Eurozone Faces an Inflation Roller Coaster

The Eurozone Faces an Inflation Roller Coaster

Prices will likely slow next year—before picking up again

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

June 2021 / INVESTMENT INSIGHTS

Constructing a Chinese Equities Portfolio

Constructing a Chinese Equities Portfolio

Constructing a Chinese Equities Portfolio

Seek to exploit market inefficiencies and extract value from the investment universe

By Irmak Surenkok

Irmak Surenkok Portfolio Specialist

June 2021 / INVESTMENT INSIGHTS

Opportunistic Investing in a Dynamic High Yield Market

Opportunistic Investing in a Dynamic High Yield Market

Opportunistic Investing in a Dynamic High...

Investment flexibility may enhance risk-adjusted returns

By Rodney M. Rayburn & Jason Bauer

By Rodney M. Rayburn & Jason Bauer

June 2021 / MARKET OUTLOOK

Gains Still to Be Found in Chinese Equities

Gains Still to Be Found in Chinese Equities

Gains Still to Be Found in Chinese Equities

Corporate earnings will likely be the focus after a post-pandemic recovery

By Wenli Zheng

Wenli Zheng Portfolio Manager

June 2021 / INVESTMENT INSIGHTS

What Makes an “Impact” Investment Manager?

What Makes an “Impact” Investment Manager?

What Makes an “Impact” Investment Manager?

Understanding the required foundation to build, manage, and measure an impact portfolio

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

June 2021 / INVESTMENT INSIGHTS

Surging Home Prices May Lead to Rate Hikes

Surging Home Prices May Lead to Rate Hikes

Surging Home Prices May Lead to Rate Hikes

The return of housing as an economic driver gives the Fed options.

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

June 2021 / WEBINAR

2021 MYMO replay: Positioning for a New Economic Landscape

2021 MYMO replay: Positioning for a New Economic Landscape

2021 MYMO replay: Positioning for a New Economic...

Expert insights on the investment themes shaping markets in the second half of 2021

By Robert W. Sharps, Justin Thomson & Mark J. Vaselkiv

By Robert W. Sharps, Justin Thomson & Mark J. Vaselkiv

June 2021 / INVESTMENT INSIGHTS

Four Keys to Tackling the Green Bond Boom

Four Keys to Tackling the Green Bond Boom

Four Keys to Tackling the Green Bond Boom

Increased issuance means more buy-side diligence is needed

By Matthew Lawton

Matthew Lawton Portfolio Manager

June 2021 / INVESTMENT INSIGHTS

The Imminent Peak in Growth Does Not Spell Doom and Gloom

The Imminent Peak in Growth Does Not Spell Doom and Gloom

The Imminent Peak in Growth Does Not Spell...

It is likely to remain above the potential rate for a while

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

June 2021 / MARKET OUTLOOK

Global Asset Allocation: June Insights

Global Asset Allocation: June Insights

Global Asset Allocation: June Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

June 2021 / MARKET OUTLOOK

Positioning for a New Economic Landscape

Positioning for a New Economic Landscape

Positioning for a New Economic Landscape

Recovery is on track, but inflation pressures create risks

By Robert W. Sharps, Justin Thomson & Mark J. Vaselkiv

By Robert W. Sharps, Justin Thomson & Mark J. Vaselkiv

June 2021 / INVESTMENT INSIGHTS

Finding Value in Equity Markets Amid Elevated Valuations

Finding Value in Equity Markets Amid Elevated Valuations

Finding Value in Equity Markets Amid Elevated...

When the upside potential may be limited, selectivity is required

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

June 2021 / VIDEO

Credit market outlook in brief

Credit market outlook in brief

Credit market outlook in brief

A 4-minute overview of where we see value in global credit

By Justin Gerbereux

Justin Gerbereux Head of Global Fixed Income Research

June 2021 / INVESTMENT INSIGHTS

Seeking alpha in EM local currency debt

Seeking alpha in EM local currency debt

Seeking alpha in EM local currency debt

A closer look at our investment approach

By Andrew Keirle & Michael Ganske

By Andrew Keirle & Michael Ganske

June 2021 / MARKET OUTLOOK

As the Global Economy Recovers, Japan Stands in the Spotlight

As the Global Economy Recovers, Japan Stands in the Spotlight

As the Global Economy Recovers, Japan Stands...

Upbeat outlook as Japanese market is highly geared to global recovery

By Archibald Ciganer

Archibald Ciganer Investment Analyst

June 2021 / INVESTMENT INSIGHTS

Seeking Value Stocks on the Right Side of Change

Seeking Value Stocks on the Right Side of Change

Seeking Value Stocks on the Right Side of...

Accelerating disruption creates potential opportunities for value investors

By Mark S. Finn

Mark S. Finn Portfolio Manager

June 2021 / INVESTMENT INSIGHTS

Are Tight Credit Valuations Justified?

Are Tight Credit Valuations Justified?

Are Tight Credit Valuations Justified?

Positive tailwinds are providing support, but caution is advised

By Arif Husain, Andrew Keirle & Kenneth A. Orchard

By Arif Husain, Andrew Keirle & Kenneth A. Orchard

June 2021 / INVESTMENT INSIGHTS

Focus on Higher-Quality Investment-Grade Corporate Bonds

Focus on Higher-Quality Investment-Grade Corporate Bonds

Focus on Higher-Quality Investment-Grade...

We are finding opportunities to add yield despite narrow spreads.

By Lauren T. Wagandt & Matthew Lawton

By Lauren T. Wagandt & Matthew Lawton

June 2021 / MARKET OUTLOOK

Investment Ideas for the Next 12 Months

Investment Ideas for the Next 12 Months

Investment Ideas for the Next 12 Months

Positioning your portfolio for the risks and opportunities ahead

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

May 2021 / INVESTMENT INSIGHTS

Why Central Bank Digital Currencies Will Revolutionize Banking

Why Central Bank Digital Currencies Will Revolutionize Banking

Why Central Bank Digital Currencies Will...

CBDCs should boost financial inclusion and improve efficiency.

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

May 2021 / INVESTMENT INSIGHTS

Duration Hideouts Offer Opportunities as Bond Sell-Off Continues

Duration Hideouts Offer Opportunities as Bond Sell-Off Continues

Duration Hideouts Offer Opportunities as...

Five key themes for an uncertain period in fixed income markets.

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

May 2021 / PODCAST

COVID-19 Vaccinations and the Implications for Emerging Markets

COVID-19 Vaccinations and the Implications for Emerging Markets

COVID-19 Vaccinations and the Implications...

The vaccine roll out across emerging markets is a critical question.

By Benjamin Robins

Benjamin Robins Portfolio Specialist

May 2021 / INVESTMENT INSIGHTS

Lessons Learned: Repeat of Taper Tantrum Unlikely

Lessons Learned: Repeat of Taper Tantrum Unlikely

Lessons Learned: Repeat of Taper Tantrum...

The Fed may announce first asset tapering steps this summer.

By Alan Levenson, Stephen L. Bartolini & Mike Sewell

By Alan Levenson, Stephen L. Bartolini & Mike Sewell

May 2021 / INVESTMENT INSIGHTS

Implied support: A supporting actor, not the lead role in Asia credit

Implied support: A supporting actor, not the lead role in Asia credit

Implied support: A supporting actor, not...

Chinese SOE defaults reaffirm importance of fundamental research.

By Sheldon Chan, Lyris Xu & Christopher J. Kushlis

By Sheldon Chan, Lyris Xu & Christopher J. Kushlis

May 2021 / INVESTMENT INSIGHTS

Complacency creates inefficiency in EM corporates

Complacency creates inefficiency in EM corporates

Complacency creates inefficiency in EM corporates

Amid broad-based buying, markets have been paying less attention to issuer-specific...

By Siby Thomas

Siby Thomas Portfolio Manager

May 2021 / INVESTMENT INSIGHTS

Prospects Brighten for Global Dividend Stocks

Prospects Brighten for Global Dividend Stocks

Prospects Brighten for Global Dividend Stocks

Post-pandemic recovery will likely aid company earnings and dividends

By Yoichiro Kai

Yoichiro Kai Investment Analyst

May 2021 / INVESTMENT INSIGHTS

What’s Next for China’s Geopolitical Relations?

What’s Next for China’s Geopolitical Relations?

What’s Next for China’s Geopolitical Relations?

Tensions remain elevated, but expect a return to more multilateral negotiations

By Katie Elizabeth Deal & Christopher J. Kushlis

By Katie Elizabeth Deal & Christopher J. Kushlis

May 2021 / INVESTMENT INSIGHTS

Emerging Markets Should Largely Keep Pace With U.S. Rebound

Emerging Markets Should Largely Keep Pace With U.S. Rebound

Emerging Markets Should Largely Keep Pace...

Yield curves may steepen as growth recovers

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

May 2021 / MARKET OUTLOOK

Global Asset Allocation: May Insights

Global Asset Allocation: May Insights

Global Asset Allocation: May Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

May 2021 / MULTI-ASSET SOLUTIONS

PULSe Indicator: Stability on the Surface, Currents Underneath

PULSe Indicator: Stability on the Surface, Currents Underneath

PULSe Indicator: Stability on the Surface,...

Vaccination rollout/lockdowns lower pandemic risk

By Thomas Poullaouec, Nathan Wang & David Clewell

By Thomas Poullaouec, Nathan Wang & David Clewell

May 2021 / BLOG

In First 100 Days, Biden Maps Big Changes to Economy

In First 100 Days, Biden Maps Big Changes to Economy

In First 100 Days, Biden Maps Big Changes...

Expect tax hikes to fund infrastructure upgrades and innovation

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

May 2021 / GOING BEYOND THE NUMBERS

Diversity, Equity, and Inclusion in the Spotlight

Diversity, Equity, and Inclusion in the Spotlight

Diversity, Equity, and Inclusion in the Spotlight

From tragedy comes unity and a commitment to improve

By Donna Anderson & Maria Elena Drew

By Donna Anderson & Maria Elena Drew

May 2021 / INVESTMENT INSIGHTS

What’s Next for Value Stocks

What’s Next for Value Stocks

What’s Next for Value Stocks

Value stocks have rallied, but we see the potential for more upside

By John D. Linehan

John D. Linehan Portfolio Manager

April 2021 / BLOG

Navigating a Landscape of Interlinked Crises

Navigating a Landscape of Interlinked Crises

Navigating a Landscape of Interlinked Crises

Opportunities presented by public policy in the Biden era

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

April 2021 / INVESTMENT INSIGHTS

The Resilience of EM corporates

The Resilience of EM corporates

The Resilience of EM corporates

EM corporate bonds have had smaller losses and less volatility at times of market...

By Siby Thomas

Siby Thomas Portfolio Manager

April 2021 / INVESTMENT INSIGHTS

Loans May Provide Solid Returns in Multiple Rate Environments

Loans May Provide Solid Returns in Multiple Rate Environments

Loans May Provide Solid Returns in Multiple...

The asset class offers a low-duration profile, attractive yields

By Paul Massaro & Stephen M. Finamore

By Paul Massaro & Stephen M. Finamore

April 2021 / MULTI-ASSET SOLUTIONS

Inflation Likely to Accelerate: A Non-consensus View

Inflation Likely to Accelerate: A Non-consensus View

Inflation Likely to Accelerate: A Non-consensus...

Aggressive stimulus and labor market tightening mean higher inflation risk

By Richard Coghlan & Christopher Faulkner-MacDonagh

By Richard Coghlan & Christopher Faulkner-MacDonagh

April 2021 / INVESTMENT INSIGHTS

Five Forces in International Equities Investors May Be Underestimating

Five Forces in International Equities Investors May Be Underestimating

Five Forces in International Equities Investors...

China, Japan, technology, and value have potential to shape global markets in 2021...

By Justin Thomson

Justin Thomson Head of International Equity and CIO

April 2021 / MARKET OUTLOOK

Global Asset Allocation: April Insights

Global Asset Allocation: April Insights

Global Asset Allocation: April Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

April 2021 / MULTI-ASSET SOLUTIONS

Three Reasons Why Pent-Up Demand Is Not a Growth Panacea

Three Reasons Why Pent-Up Demand Is Not a Growth Panacea

Three Reasons Why Pent-Up Demand Is Not a...

The recovery in European asset prices is likely to be nonlinear

By Multiple Authors

By Multiple Authors

April 2021 / INVESTMENT INSIGHTS

The Long-Term Appeal of Durable Growers Remains Intact

The Long-Term Appeal of Durable Growers Remains Intact

The Long-Term Appeal of Durable Growers Remains...

Some of the best large-cap growth stories have often contained multiple chapters

By Larry J. Puglia & Paul Greene

By Larry J. Puglia & Paul Greene

April 2021 / INVESTMENT INSIGHTS

Why ESG Factors Matter in Asia Credit Investing

Why ESG Factors Matter in Asia Credit Investing

Why ESG Factors Matter in Asia Credit Investing

Integrating ESG factors can help manage downside risk and identify high‑quality businesses...

By Multiple Authors

By Multiple Authors

April 2021 / MARKETS & ECONOMY

Leveraging a Diversity of Perspectives on Rising Rates

Leveraging a Diversity of Perspectives on Rising Rates

Leveraging a Diversity of Perspectives on...

An unusual rebound may provide opportunities even as rates rise

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

March 2021 / INVESTMENT INSIGHTS

Why the Eurozone Will Not Mirror China’s Post-COVID Recovery

Why the Eurozone Will Not Mirror China’s Post-COVID Recovery

Why the Eurozone Will Not Mirror China’s...

After an initial strong rebound, a period of eurosclerosis could loom

By Christopher J. Kushlis & Tomasz Wieladek

By Christopher J. Kushlis & Tomasz Wieladek

March 2021 / INVESTMENT INSIGHTS

Seeking Alpha in Emerging Markets Corporate Debt

Seeking Alpha in Emerging Markets Corporate Debt

Seeking Alpha in Emerging Markets Corporate...

After a decade of strong performance, the asset class deserves a serious look

By Siby Thomas

Siby Thomas Portfolio Manager

March 2021 / INVESTMENT INSIGHTS

Fasten Your Seatbelt for More Interest Rate Volatility

Fasten Your Seatbelt for More Interest Rate Volatility

Fasten Your Seatbelt for More Interest Rate...

Fasten Your Seatbelt for More Interest Rate Volatility

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

March 2021 / MARKETS & ECONOMY

Investing in a Pandemic: Lessons Learned and What’s Next

Investing in a Pandemic: Lessons Learned and What’s Next

Investing in a Pandemic: Lessons Learned...

Disruption, speculation in markets, and themes to watch

By Robert W. Sharps

Robert W. Sharps Chair of the Board, Chief Executive Officer and President

March 2021 / MARKETS & ECONOMY

Vaccine Progress Hands UK Economic Boost Over EU

Vaccine Progress Hands UK Economic Boost Over EU

Vaccine Progress Hands UK Economic Boost...

Sterling looks set to strengthen against the euro

By Tomasz Wieladek & Ivan Morozov

By Tomasz Wieladek & Ivan Morozov

March 2021 / INVESTMENT INSIGHTS

Why the Time Is Right to Consider Investing in EM Local Debt

Why the Time Is Right to Consider Investing in EM Local Debt

Why the Time Is Right to Consider Investing...

It offers relatively high income potential and the prospect of capital gains

By Yoram Lustig, Michael Walsh & Niklas Jeschke

By Yoram Lustig, Michael Walsh & Niklas Jeschke

March 2021 / INVESTMENT INSIGHTS

Impact Investing: Why It Matters Now More Than Ever

Impact Investing: Why It Matters Now More Than Ever

Impact Investing: Why It Matters Now More...

Equity markets are vital for driving environmental and social change

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

March 2021 / INVESTMENT INSIGHTS

T. Rowe Price Strategy Focus on Global Impact Equity

T. Rowe Price Strategy Focus on Global Impact Equity

T. Rowe Price Strategy Focus on Global Impact...

Read more about our Strategy Focus on Global Impact Equity

By Hari Balkrishna

Hari Balkrishna Portfolio Manager

March 2021 / BLOG

Cooling U.S.-Europe Trade Tensions Could Lead to Bigger Deal

Cooling U.S.-Europe Trade Tensions Could Lead to Bigger Deal

Cooling U.S.-Europe Trade Tensions Could...

Biden likely to seek European support to exert pressure on China

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

March 2021 / INVESTMENT INSIGHTS

Preparing for Higher Inflation

Preparing for Higher Inflation

Preparing for Higher Inflation

With inflation expectations on the rise, we look at a few investment ideas that could...

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

March 2021 / INVESTMENT INSIGHTS

Why Credit Investors Need to Become Active Duration Managers

Why Credit Investors Need to Become Active Duration Managers

Why Credit Investors Need to Become Active...

The importance of duration for credit performance and five ways to improve it

By Kenneth A. Orchard & Steve Booth

By Kenneth A. Orchard & Steve Booth

March 2021 / MARKETS & ECONOMY

Pleasant Recession, Unpleasant Recovery

Pleasant Recession, Unpleasant Recovery

Pleasant Recession, Unpleasant Recovery

Weak pent-up demand will likely prevent a post-COVID boom

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

March 2021 / INVESTMENT INSIGHTS

U.S. High Yield Bonds Should Benefit From Improving Fundamentals

U.S. High Yield Bonds Should Benefit From Improving Fundamentals

U.S. High Yield Bonds Should Benefit From...

The asset class offers current high income, lower rate sensitivity

By Kevin Loome & Gregor T. Dannacher

By Kevin Loome & Gregor T. Dannacher

March 2021 / INVESTMENT INSIGHTS

China’s Economy: Recovery and Rebalancing

China’s Economy: Recovery and Rebalancing

China’s Economy: Recovery and Rebalancing

Emerging from the pandemic, an encouraging pathway for China’s economy

By Christopher J. Kushlis

Christopher J. Kushlis Asia Sovereign Analyst, London

March 2021 / MARKET OUTLOOK

Global Asset Allocation: March Insights

Global Asset Allocation: March Insights

Global Asset Allocation: March Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

March 2021 / VIDEO

Attractive Risk-Return Tradeoff in EM Corporates

Attractive Risk-Return Tradeoff in EM Corporates

Attractive Risk-Return Tradeoff in EM Corporates

A history of equity-like returns, with a fraction of the volatility

By Samy Muaddi

Samy Muaddi Head of Emerging Markets

March 2021 / VIDEO

Why Now for EM Local Currency Debt?

Why Now for EM Local Currency Debt?

Why Now for EM Local Currency Debt?

Yield, valuation and diversification

By Andrew Keirle

Andrew Keirle Senior Portfolio Manager

March 2021 / MARKETS & ECONOMY

Has the Fed Turned Hawkish by Allowing Bond Yields to Surge?

Has the Fed Turned Hawkish by Allowing Bond Yields to Surge?

Has the Fed Turned Hawkish by Allowing Bond...

It seems happy to let financial market conditions tighten.

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

March 2021 / INVESTMENT INSIGHTS

Investing in the Infrastructure Behind the Digital Economy

Investing in the Infrastructure Behind the Digital Economy

Investing in the Infrastructure Behind the...

We like firms supplying “picks and shovels” for the rush online

By Alan Tu, James Stillwagon & Anthony Bruce Wang

By Alan Tu, James Stillwagon & Anthony Bruce Wang

March 2021 / INVESTMENT INSIGHTS

When Emerging Market Debt Dances to the Inflation Tune

When Emerging Market Debt Dances to the Inflation Tune

When Emerging Market Debt Dances to the Inflation...

How higher oil prices could impact inflation and the asset class

By Arif Husain & Kenneth A. Orchard

By Arif Husain & Kenneth A. Orchard

March 2021 / PODCAST

Secular Forces Are Carving New Paths for Active Investing Part 2

Secular Forces Are Carving New Paths for Active Investing Part 2

Secular Forces Are Carving New Paths for...

How has coronavirus accelerated and redirected some long-term secular trends?

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

March 2021 / INVESTMENT INSIGHTS

For or Against? The Year in Shareholder Resolutions

For or Against? The Year in Shareholder Resolutions

For or Against? The Year in Shareholder Resolution...

With environmental and social proposals in the spotlight, case-by-case insights were...

By Donna Anderson

Donna Anderson Global Head of Corporate Governance

February 2021 / INVESTMENT INSIGHTS

Five Reasons Why Investors Should Consider EM Local Bonds

Five Reasons Why Investors Should Consider EM Local Bonds

Five Reasons Why Investors Should Consider...

Attractive yields and cheap currencies make the sector stand out

By Andrew Keirle

Andrew Keirle Senior Portfolio Manager

February 2021 / INVESTMENT INSIGHTS

Melting Permafrost Poses Challenge For Arctic Companies

Melting Permafrost Poses Challenge For Arctic Companies

Melting Permafrost Poses Challenge For Arctic...

Climate change risks are rising for Russian industrial companies

By Willem Visser

Willem Visser Investment Analyst

February 2021 / BLOG

The “In-Between,” the “New Normal,” and What’s Next…

The “In-Between,” the “New Normal,” and What’s Next…

The “In-Between,” the “New Normal,” and What’s...

Tracking the course for global equites to a post-COVID-19 world

By David J. Eiswert

David J. Eiswert Portfolio Manager

February 2021 / PODCAST

Interview with Katie Deal, U.S. political analyst

Interview with Katie Deal, U.S. political analyst

Interview with Katie Deal, U.S. political...

Katie discusses the key focus points of Biden's administration and implications for...

By Katie Elizabeth Deal

Katie Elizabeth Deal Investment Analyst

February 2021 / MARKET OUTLOOK

Global Asset Allocation: February Insights

Global Asset Allocation: February Insights

Global Asset Allocation: February Insights

Discover the latest global market themes

By Yoram Lustig

Yoram Lustig Head of Multi-Asset Solutions, EMEA & Latam

February 2021 / PODCAST

Secular Forces Are Carving New Paths for Active Investing

Secular Forces Are Carving New Paths for Active Investing

Secular Forces Are Carving New Paths for...

How has coronavirus accelerated and redirected some long-term secular trends?

By Yoram Lustig & Michael Walsh

By Yoram Lustig & Michael Walsh

February 2021 / MARKETS & ECONOMY

The Risk Rally Will Likely Continue, but It Is Vulnerable

The Risk Rally Will Likely Continue, but It Is Vulnerable

The Risk Rally Will Likely Continue, but...

A price correction is possible

By Nikolaj Schmidt

Nikolaj Schmidt Chief Global Economist

February 2021 / INVESTMENT INSIGHTS

Three Critical Questions Facing Fixed Income Investors in 2021

Three Critical Questions Facing Fixed Income Investors in 2021

Three Critical Questions Facing Fixed Income...

Why a flexible approach is necessary in this challenging environment

By Arif Husain

Arif Husain Head of Global Fixed Income and CIO

February 2021 / MARKETS & ECONOMY

The EU-UK Trade Deal Leaves Open Questions

The EU-UK Trade Deal Leaves Open Questions

The EU-UK Trade Deal Leaves Open Questions

But the exclusion of some areas brings opportunity for reform

By Tomasz Wieladek

Tomasz Wieladek Chief European Economist

January 2021 / MARKET OUTLOOK

Gains Still to Be Found in Global Equities

Gains Still to Be Found in Global Equities

Gains Still to Be Found in Global Equities

Seizing the opportunities that higher volatility and mixed news flow will create

By Scott Berg

Scott Berg Portfolio Manager

January 2021 / INVESTMENT INSIGHTS

Finding “Deeper Value” in Emerging Markets

Finding “Deeper Value” in Emerging Markets

Finding “Deeper Value” in Emerging Markets

Value-growth divergence may be peaking

By Ernest C. Yeung

Ernest C. Yeung Portfolio Manager

January 2021 / INVESTMENT INSIGHTS

End of the Fed’s Credit Support Facilities Is Positive

End of the Fed’s Credit Support Facilities Is Positive

End of the Fed’s Credit Support Facilities...

Risk of unintended imbalances in the credit market is lower

By Multiple Authors

By Multiple Authors

January 2021 / MULTI-ASSET SOLUTIONS

Creativity in a Low-Yield Era

Creativity in a Low-Yield Era

Creativity in a Low-Yield Era

Bond investors could face more challenging markets in 2021

By Mark J. Vaselkiv & David R. Giroux

By Mark J. Vaselkiv & David R. Giroux

January 2021 / MULTI-ASSET SOLUTIONS

Uncovering Opportunities Amid Recovery

Uncovering Opportunities Amid Recovery

Uncovering Opportunities Amid Recovery

A winding path back

By T. Rowe Price

T. Rowe Price

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GIPS® Information

T. Rowe Price ("TRP") claims compliance with the Global Investment Performance Standards (GIPS®) and has prepared and presented this report in compliance with the GIPS standards. T. Rowe Price has been independently verified for the 27-year period ended June 30, 2023, by KPMG LLP. The verification report is available upon request. A firm that claims compliance with the GIPS standards must establish policies and procedures for complying with all the applicable requirements of the GIPS standards. Verification provides assurance on whether the firm’s policies and procedures related to composite and pooled fund maintenance, as well as the calculation, presentation, and distribution of performance, have been designed in compliance with the GIPS standards and have been implemented on a firm-wide basis. Verification does not provide assurance on the accuracy of any specific performance report.

TRP is a U.S. investment management firm with various investment advisers registered with the U.S. Securities and Exchange Commission, the U.K. Financial Conduct Authority, and other regulatory bodies in various countries and holds itself out as such to potential clients for GIPS purposes. TRP further defines itself under GIPS as a discretionary investment manager providing services primarily to institutional clients with regard to various mandates, which include U.S, international, and global strategies but excluding the services of the Private Asset Management group.

A complete list and description of all of the Firm's composites and/or a presentation that adheres to the GIPS® standards are available upon request. Additional information regarding the firm's policies and procedures for calculating and reporting performance results is available upon request

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