2026 midyear outlook: A world disrupted? Resilience endures.
In a time of immense disruption, we believe resilience endures and provides a favourable investment environment for the rest of the year.
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In a time of immense disruption, we believe resilience endures and provides a favourable investment environment for the rest of the year.
Insurers need to diversify return sources, reduce exposure to correlated shocks, and optimise capital efficiency. Selective allocations to private markets can help.
Pensions policy is moving from design to delivery across the UK, the Netherlands, and Germany — and implementation risk now matters as much as policy direction.
Discover our Global Fixed Income Strategy Monthly Report, we offer an outlook for interest rates and currencies and look at which fixed income assets are favoured across a range of market environments.
Welcome to our Tactical Asset Allocation hub. Here you’ll find a selection of the most recent research from Invesco Solutions. Read our latest analysis that covers market strategy and opportunities across various asset classes.
In our monthly market roundup for June, looking back at May saw an improvement in global market sentiment as signs of easing tensions in the Middle East.
European ETFs gathered US$45bn in April as risk appetite returned. Explore the latest ETF Snapshot for flows across equities, fixed income, commodities, emerging markets, clean energy and AAA-rated CLOs.
For more than two decades, the Invesco Euro Corporate Bond Fund has actively managed credit and duration across multiple market cycles. This piece explains the fund’s approach, track record and how that same discipline informs its positioning today.
For European insurers, investment grade CLO tranches — especially AAA-rated — offer a practical way to increase yield, manage risk, and diversify portfolios