
2025 Investment Outlook
Global markets face a structural reset. Discover how evolving macro trends may impact positioning and portfolio strategy in H2 2025.
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In our monthly market roundup for June, Invesco experts highlight a mixed month for global equity markets, alongside key updates in fixed income.
Paul Jackson discusses his insights on portfolio allocations and strategies for the Q3 2025 outlook.
Discover how the Quality factor, defined by strong fundamentals and resilience, offers investors a consistent strategy across market cycles. Learn how the S&P 500 Quality Index and Invesco’s ETF provide targeted access to high-quality US companies.
For investors who see the industrial automation, healthtech, and AI sectors as the future growth drivers, the ChiNext 50 could potentially be a significant index for growth innovation. Find out more in our latest article.
European ETF investors added US$28.7bn of net new assets in May, a significant improvement from April.
Experts from Invesco's bank loan, direct lending and distressed credit teams to share their views from the second quarter of 2025.
The gold price has made a series of new all-time highs over the past year, driven partly by demand from investors. Find out more about what’s been driving the gold price, as well as answers to some of the other questions that many investors have when considering adding gold to their portfolios.
Find out what objectives a systematic active approach might aim to achieve and how an equity ETF using this strategy fits in between pure passive and traditional active management.
Get an in-depth Q2 report from our alternatives experts including their outlook, positioning, and insight on valuations, fundamentals, and trends.
Invesco Private Credit’s Kevin Petrovcik discusses how investors can access Collateralised Loan Obligation (CLO) notes in exchange traded funds, or ETFs, due to new regulatory developments in offerings through UCITS ETFs.
Collateralised loan obligation (CLO) equity can be a compelling diversifier and has the potential for attractive absolute and risk-adjusted returns.
April's fixed income markets saw mixed performance and volatility. Read our latest thoughts on how fixed income markets fared during the month and what we think you should be looking out for in the near term.