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Insights

Access expert research, timely insights, and exclusive webcasts to help you make confident, data-driven decisions.

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Report
We present our five key views for global fixed income markets in 2026. A year that will see the global easing cycle come to an end....
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Washington’s new strategy sheds liberal idealism for hard-edged multipolar realism: spheres of influence accepted, allies chided, Asia red lines firm, Latin America elevated, and AI-plus-digital assets crowned as national-security sinews. The result is a world steadied by US offshore balancing – an ...
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Report
Our 2026 Outlook presents our five key views for Europe’s macro landscape and markets in 2026 —a year poised to reveal the true strength of the recovery....
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Report
September’s weak consumer spending data challenge the K-shaped recovery narrative and suggest that spending will slow to match already-weak employment growth....
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The US High Quality portfolio outperformed its benchmark through November, returning 1.13%, whilst its SPY benchmark returned 0.08%. Our US High Quality SMID portfolio experienced a decline in performance this month. The portfolio returned -2.27%, underperforming its MSCI US Small and Mid Cap benchm...
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We got Trump's tariff shock and backtracking correct and predicted Israel's attack on Iran. But we missed the China rally — and there is still no Ukraine ceasefire....
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Bitcoin’s recent volatility masks a deeper story – the widest disconnect from traditional macro drivers since 2022. With sentiment now deeply negative and institutional demand still building, the conditions for a realignment with fundamentals are falling into place....
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Report
Our Portfolio Allocation Summary for December 2025....
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The Kingdom faces a troika of global factors in the next 12-18 months: (1) US policy rates will be cut considerably; (2) the US dollar will depreciate significantly; and (3) crude prices will remain low.How should investors position themselves in this market?...
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Report
The high-frequency Joshi Rule confirms that the US labour market is holding up. Equity investors should regard 5-10 percent selloffs as tactical buying opportunities. Bond investors should stay underweight US duration. Plus, a new high-conviction trade is to go overweight the 30-year German bund ver...
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