Markets and Economy Four key market signals to watch
Geopolitical risks have risen, but bond spreads, economic and inflation data, and the US dollar haven’t signaled any major stock market issues.
By offering a diverse portfolio of funds, we assist investors in reaching their goals, from obtaining income, growth potential, or portfolio diversification to navigating market shifts or rapid innovation.
QQCI, EQLI and Invesco Global Equity Income Advantage Fund combine income-generating options with some of the world’s best-known stock indexes.
Gain access to players in AI infrastructure management, data stewardship, semi-conductor & chip manufacturing, software services and more.
Driven by bottom-up selection, this fund has a core of what our team believes are sustainably growing, cash-generative companies, with strong balance sheets, trading at a discount to long-term intrinsic valuations.
Gain balanced sector exposure compared to the S&P/TSX 60, reduce risk in portfolios related to high concentrations in single stocks or sectors, and access a disciplined rebalancing schedule.
Geopolitical risks have risen, but bond spreads, economic and inflation data, and the US dollar haven’t signaled any major stock market issues.
The outlook for stocks still looks promising despite headlines on Fed independence, Greenland, and ongoing geopolitical maneuvering.
The calendar flipped to a new year, but macro and market trends look largely the same: Resilience in the US economy, geopolitical shifts, and tariff talk.
1. This ETF may invest up to a total of 25% of net assets in debt securities that are rated below investment grade.
NA 3849380