Report
The budget process and debt ceiling will cause stock and bond market volatility. US trade policies will provoke foreign pushback at a time of stretched valuations. Hence US politics and geopolitics will be bullish for US energy, but bearish for the internationally exposed US tech sector....
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Report
Questions about fiscal risks and their impact on bond markets have become more frequent in client conversations. This Special Report provides a framework to assess a country’s fiscal sustainability and how it affects its bond market outlook. On an individual country basis, Spain has shown a remarkab...
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Report
The bond market has paused its selloff thanks to a revolt by the Republicans in the House of Representatives against much of President Trump’s fiscal agenda. Gone are the lofty projections of the expanded deficit and we are now looking at merely the 2017 tax cuts being extended. This is positive for...
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Report
In this report, we reassess our bullish stance on crypto from early 2023, following Bitcoin’s recent all-time highs. While institutional adoption is broadening, there are also signs of excessive exuberance, speculation, and optimism. Given these conditions, a near-term correction appears likely. We ...
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Report
Last week’s tariff debacle kicks off a period of heightened global policy uncertainty under the new US administration. That is bad news for financial assets exposed to the business cycle. Meanwhile, it creates an opportunity for safe-haven assets to shine.Gold is capturing headlines for soaring to f...
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Report
The 3-3-3 plan pitched by Treasury Secretary Scott Bessent will need several improbabilities to break its way if it is to meet its goals. We think it is much more likely that the plan will disappoint. Defensive asset allocations will outperform once it becomes clear that 3-3-3 will fall short, but w...
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Report
Europe is about to become President Trump’s next target. The good news: a US/EU trade war will be short as common ground to achieve a deal exists. The bad news: European assets remain at the mercy of heightened uncertainty. How should investors position themselves in this tricky context?...
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