2026 Annual Investment Outlook
We believe the market can continue to rise in the new year, and we expect new opportunities to be unlocked as market leadership evolves.
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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.
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.
In our monthly market roundup for March, Invesco experts review a mixed month for global equity markets, alongside key updates in fixed income.
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.
For European insurers, investment grade CLO tranches — especially AAA-rated — offer a practical way to increase yield, manage risk, and diversify portfolios
Our investment experts discuss the implications of geopolitical risk and high energy prices on their asset classes, and how they’re managing portfolios in this environment.
Invesco Solutions develops capital market assumptions (CMAs) that provide long-term estimates for the behaviour of major asset classes globally.
Find out what regional stock markets look cheap or expensive and learn from our experts about investing opportunities and risks around the world.
Middle East tensions unsettled markets in March, yet European ETFs attracted US$12bn, driven by diversification away from the US and cautious demand for cash and short-duration fixed income.