Helping You Discover What's Possible

We understand the importance of managing our clients’ money in good times and bad. Your portfolio reflects the goals and ambitions you have in life, whether it is funding a child’s education, enjoying a comfortable retirement, or leaving a lasting legacy for yourself. In these volatile market conditions, we’re focused on helping you find the right possibilities during this crisis and beyond.

Each day, the news around the coronavirus changes, so we’re providing our latest insights about what’s possible in the economy and financial markets.

We understand the importance of managing money in good times and bad. Your clients’ look to you for help in achieving their goals, whether it is funding a child’s education, enjoying a comfortable retirement or leaving a lasting legacy. In these volatile market conditions, we’re focused on helping you find the right possibilities during this crisis and beyond.

Each day, the news around the coronavirus changes, so we’ve provided investors and advisors our latest insights on what’s possible in the economy and financial markets.

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The Roadmap to Recovery

A series of programs designed to help you and your clients stay on track during this crisis and beyond.

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Investors have access to more information than ever before — but it can be overwhelming to figure out what's really important. These resources can help investors understand what's going on in the world today, and why it matters.

Market volatility creates both risks and opportunities. Here our experts share their insights on what is happening in the stock, bond and other financial markets, and what the implications may be for your long-term financial plan.

Invesco is here to help you find the possibilities in these uncertain times. Stay connected with our most recent insights and timely news:

During uncertain times, a critical aspect of your business is answering your clients’ questions. These resources can help you offer perspective to worried investors

Your clients have access to more information than ever before — but not all of it is helpful. These resources can help your clients understand what’s going on in the world today, and why it’s important.

Volatility creates both risks and possibilities. These resources explore the views of your investment experts regarding equities, fixed income, and other asset classes.

Invesco is here to help you find the possibilities in these uncertain times. Our team of Invesco Consultants is available to answer any of your questions.

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Featured Program

Historical perspectives and the path forward

April 27, 2020

Featured Program

Navigating portfolios during a global pandemic

May 7, 2020

Featured Program

What Matters Most Right Now

April 13, 2020 | Invesco Global Consulting

Demonstrating value to clients in uncertain times

Nations pledge trillions in fiscal stimulus to boost their economies

June 1, 2020 | Kristina Hooper, Chief Global Market Strategist

The European Union, Japan, and China propose a variety of spending initiatives to help businesses and workers

Thinking through the stresses on emerging markets

May 29, 2020 | Justin Leverenz, CFA, Team Leader and Senior Portfolio Manager

Understanding the economic stresses across EM is important. Still, it does not affect our core approach to investing, which is to unearth extraordinary companies, even in low-growth economies that we believe have the potential to generate strong returns

Portfolio positioning for a recovery scenario

May 29, 2020 | Talley Leger, Senior Investment Strategist

We provide a historical perspective on stock market, sector, size, style and regional allocations

A case study in lowering unemployment: The Work Projects Administration

May 28, 2020 | Kristina Hooper, Chief Global Market Strategist

The WPA put millions back to work during the Great Depression. Could this be a model for 2020 and beyond?

Need some good news? Markets, economy do offer some

May 21, 2020 | Brian Levitt, Global Market Strategist, North America

This crisis has many overwhelming aspects, but optimists can find positive developments on many fronts

US-China tensions could be the biggest risk to US stocks this year

May 18, 2020 | Kristina Hooper, Chief Global Market Strategist

A massive policy response has helped bolster stocks against the economic impact of COVID-19, but another tariff war could threaten markets

Low-wage job losses fuel the US stimulus debate

May 11, 2020 | Kristina Hooper, Chief Global Market Strategist

Kristina Hooper believes Congress needs to help American households remain solvent through further stimulus

Portfolio managers discuss contrarian views and emerging opportunities

May 28, 2020 | Kristina Hooper, Chief Global Market Strategist

We take a look at the impact of the Federal Reserve’s TALF program

Industrial REITs: A potential bright spot in challenging times

May 20, 2020 | John Corcoran, Senior Client Portfolio Manager

Looking past the current market uncertainty, we see a potential bright spot in industrial REITS

SteelPath May MLP update and news

May 8, 2020 | Brian Watson, CFA, Senior Portfolio Manager

The midstream sectors finds a way to offset the impact of the coronavirus and oil glut

Tactical asset allocation views – May 2020

May 7, 2020 | Alessio de Longis, CFA, Senior Portfolio Manager

We examine three potential paths forward for the global economy

Investing in dividend-paying stocks during this crisis

May 6, 2020 | Meggan Walsh, CFA, Senior Portfolio Manager, Head of the Dividend Value team

Meggan Walsh offers perspective on what to make of dividend reductions, how to find investment opportunities amid COVID-19, and whether the outperformance of growth stocks over their value counterparts is sustainable

We believe growth stocks will retain longer-term market leadership

May 6, 2020 | George Evans, CFA, OFI Equities | Alice Fricke, CFA, Senior Client Portfolio Manager

While the coronavirus pandemic has created market turbulence, the long-term trends driving global growth remain in place

Exploring opportunities and a flight to Quality

May 5, 2020 | Nick Kalivas, Senior Equity ETF Strategist

Investors seeking to manage volatility may want to consider strategies that provide access to Quality companies that show signs of financial strength

Global markets: What to watch for in May

May 4, 2020 | Kristina Hooper, Chief Global Market Strategist

Some countries and states are easing lockdowns, while politicians debate what to do next

Do markets need to retest prior lows?

May 4, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt explains that historically whether a bottom held or not had little impact on subsequent returns

Residential REITs: A potential bright spot in challenging times

May 1, 2020 | John Corcoran, Senior Client Portfolio Manager

Looking forward, when markets stabilize, we see some potential tailwinds for residential REITs

Why there's little point in asking whether the stock market will retest lows

April 29, 2020 | Brian Levitt, Global Market Strategist, North America | Talley Leger, Senior Investment Strategist

In past downturns, how often the market revisited or surpassed bottoms had little impact on future long-term returns

Key takeaways from the COVID-19 response for growth investors

April 29, 2020 | Ronald Zibelli, CFA, Senior Portfolio Manager

Ronald Zibelli discusses how e-commerce and cloud computing companies could benefit from the response to the virus

What to make of the market’s rally amid difficult economic news

April 27, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt believes we may not be at the start of a new cycle but is positive about the long-term prospects for recovery

As the US passes more stimulus, disagreements loom on what comes next

April 27, 2020 | Kristina Hooper, Chief Global Market Strategist

Congress readies for negotiations over the next stimulus bill, while governors decide when and how to re-open state economies

How the shutdown might affect the US economy and markets (Answers to FAQs – Part 4)

April 21, 2020 | Brian Levitt, Global Market Strategist, North America | Talley Léger, Senior Investment Strategist | Timothy Horsburgh, CFA, Investment Strategist

Our market strategists weigh in on what drove a recent market rally, how the shutdown will affect the economy and markets, and what additional government support may be coming

Answers to questions about today’s volatile markets

April 20, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt shares what might be driving a recent market rally, whether policymakers’ response might be inflationary, and how advisors and investors may want to position portfolios.

Tracking China’s recovery and a dire US earnings season

April 20, 2020 | Kristina Hooper, Chief Global Market Strategist

What does the data tell us about the potential outcomes for China’s economy and for US stocks?

Investors are turning to ETFs amid market uncertainty

April 27, 2020 | John Feyerer, CFA, Senior Director of Equity ETF Product Strategy

John Feyerer explains why investors are turning to ETFs, for both the potentially defensive and offensive positioning they can provide in a volatile market

Scott Baskind examines how senior loan have fared in the volatile markets set off by the coronavirus crisis

April 24, 2020 | Scott Baskind, Head of Global Senior Loans, Chief Investment Officer, Senior Portfolio Manager

Scott Baskind examines how senior loan have fared in the volatile markets set off by the coronavirus crisis

Challenges and opportunities emerging in the muni market

April 21, 2020 | Mark Paris, Chief Investment Officer, Head of Municipal Strategies, Invesco Fixed Income

Mark Paris examines the factors driving volatility in the municipal market and the sectors where his team believes there are opportunities for long-term investors

Designing an investment strategy for the current crisis

April 17, 2020 Macro | Scott Wolle, Head of Systematic and Factor Investing, Chief Investment Officer, Invesco Global Asset Allocation Portfolio Manager

Scott Wolle discusses the effect of extreme markets on strategy management, as well as how the idea of “preparation, not prediction" has fared so far

Biopharma companies are at the forefront of understanding the coronavirus

April 17, 2020 | Máire Lane, PhD, CFA, Senior Research Analyst | Frank Jennings, PhD, Senior Portfolio Manager

Today’s technology enables researchers to understand how this virus behaves and how it could eventually be stopped.

As earnings season looms, portfolio managers look for long-term opportunity

April 16, 2020 | Kristina Hooper, Chief Global Market Strategist

PMs discuss the real estate market, global equities, commodities and more

Exchange-Traded Funds

To learn about strategies that can help you navigate these challenging markets, explore the latest information on our suite of exchange-traded funds

Fixed Income

Looking to diversify your fixed income positions? Our broad array of active fixed income products can help you tailor your portfolio to meet your asset allocation needs.

Is the flight to cash the right move now?

April 15, 2020 | Brian Levitt, Global Market Strategist, North America

For long-term investors, staying out of the market during a period of volatility may hinder your returns

Black swans, nonlinear history and financial markets

April 14, 2020 | Justin Leverenz, CFA, Team Leader and Senior Portfolio Manager

The world is changing. A novel world is emerging – and we anticipate a return of inflation, a bull market in China and elevated geopolitical volatility.

Promising signs amid the volatility

April 13, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt sees signs that market may have bottomed, and he’s positive about the long-term outlook for the market and economy

Trade, stimulus, and politics: What matters to markets this week

April 13, 2020 | Kristina Hooper, Chief Global Market Strategist

The Federal Reserve unveils more tools to help the US economy while Congress debates its next step

History provides insight on how long a market downturn may last

April 8, 2020 | Brian Levitt, Global Market Strategist, North America | Tim Horsburgh, CFA, Investment Strategist

Global market strategists Brian Levitt and Tim Horsburgh answer 9 key questions investors are asking about bear markets

Coronavirus aid package includes retirement-related relief

April 8, 2020 | Jon Vogler, Senior Analyst, Retirement Research

The policy changes affect retirement plan distributions and loans, among other measures

More near-term volatility likely before eventual recovery

April 7, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt suggests the stock market may continue to test new lows, but he is optimistic the market a year from now will be higher than it is today

Six things for investors to watch in April

April 6, 2020 | Kristina Hooper, Chief Global Market Strategist

This month will be critical in assessing the global response to the coronavirus crisis

Answers to pressing questions about stocks – Part 3

April 3, 2020 | Talley Leger, Senior Investment Strategist

Talley Léger provides relevant information about coronavirus’ impact on equities

SteelPath April MLP update and news

April 11, 2020 | Brian Watson, CFA, Senior Portfolio Manager

The midstream sectors takes proactive steps to weather the recent volatility

Q2 2020 Global Debt outlook: A quarter unlike any other

April 10, 2020 | Hemant Baijal, Head of Multi-Sector Portfolio Management, Global Debt Senior Portfolio Manager

We think the current market dislocations could create compelling opportunities for investments with a medium and long-term horizon

Advisors offered their concerns about the municipal market. We provided our perspective

April 9, 2020 | Mark Paris, Chief Investment Officer, Head of Municipal Strategies, Invesco Fixed Income | Eddie Bernhardt, CFA, Head of Managed Accounts, Senior Portfolio Manager | Timothy Spitz, Product Director

Highlights from a recent forum in which our municipal team addressed clients’ key questions about municipal

Portfolio managers discuss the risks and opportunities ahead

April 9, 2020 | Kristina Hooper, Chief Global Market Strategist

PMs weigh in on technology-driven disruption, market liquidity, yield opportunities and more

Market decline hasn’t changed the opportunities driving international growth

April 9, 2020 | George Evans, Chief Investment Officer for Invesco OFI Equities

George Evans discusses how four key trends — mass affluence, new technology, restructuring and aging —will continue to drive global growth

A positive view on municipal bonds even amid more near-term volatility

April 8, 2020 | Mark Paris, Chief Investment Officer, Head of Municipal Strategies, Invesco Fixed Income

Mark Paris talks about the near-term stresses the COVID-19 virus has created for the municipal bond market and explains why his long-term outlook is still positive

Why Brazil will likely not “emerge,” but may still offer select investment opportunities

April 7, 2020 | Justin Leverenz, CFA, Team Leader and Senior Portfolio Manager

Self-inflected impediments may restrict the country’s structural growth, but there are still significant companies with real options

Tactical Asset Allocation Views – April 2020

April 7, 2020 | Alessio de Longis, CFA, Senior Portfolio Manager

While no one knows how long the downturn will last, we think you can draw some valuable insights from recent financial shocks

Finding opportunities in investment grade bonds

April 2, 2020 | Matt Brill, Head of Investment Grade

Matt Brill examines the fixed income landscape in the wake of the Federal Reserve’s new asset purchasing program

Where do portfolio managers see opportunities in today's environment?

April 2, 2020 | Kristina Hooper, Chief Global Market Strategist

PMs weigh in on business trends, balance sheets, disciplined approaches and Federal Reserve policy

The case for blending gold with gold mining equities

April 1, 2020 | John Corcoran, Senior Client Portfolio Manager

Changes in the macroeconomic and geopolitical environment have made these assets more attractive

Fortress Russia: An underrated economy poised for a resilient recovery and long-term growth

March 30, 2020 | Justin Leverenz, CFA, Team Leader and Senior Portfolio Manager

Russia is well positioned for a sustainable recovery in the wake of the oil price collapse and global economic slowdown

Fed actions may benefit investment grade bonds

March 27, 2020 | Eric Pollackov, Global Head of ETF Markets

Eric Pollackov explains how the Fed’s new asset purchasing program provided relief for investment grade bond ETFs

How ETFs' net asset values are calculated

March 27, 2020 | Eric Pollackov, Global Head of ETF Markets

Eric Pollackov explains how net asset values are determined for both stock and bond exchange-traded funds.

A new norm for ETF investors?

March 27, 2020 | Eric Pollackov, Global Head of ETF Markets

Eric Pollackov describes how ETFs and ETF investors are responding to extreme market volatility

Impact of coronavirus on municipal markets

March 27, 2020 | Mark Paris, Chief Investment Officer, Head of Municipal Strategies, Invesco Fixed Income

Mark Paris discusses the state of the municipal bond market amid the coronavirus crisis

A volatile market may be the time to act against your instincts

March 27, 2020 | Brian Levitt, Global Market Strategist, North America | Timothy Horsburgh, CFA, Investment Strategist

History suggests buy and hold is a better reaction to market turbulence than staying on the sidelines or waiting for better data

Where do stocks and bonds go from here?

March 30, 2020 | Kristina Hooper, Chief Global Market Strategist

The monetary and fiscal response to the coronavirus crisis so far has resulted in a mixed outlook

When will the next cycle begin?

March 26, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt shares the indicators that may suggest when the next market cycle is ready to begin

A new dashboard to consider for signs of a new market cycle

March 25, 2020 | Brian Levitt, Global Market Strategist, North America | Timothy Horsburgh, CFA, Investment Strategist | Talley Léger, Senior Investment Strategist

Our Global Market Strategy team is examining a new set of indicators to gauge when a new market cycle may be ready to begin

Municipal market update and sector thoughts

March 25, 2020 | Mark Paris, Chief Investment Officer, Head of Municipal Strategies, Invesco Fixed Income

The market found more stable footing this week as the Federal Reserve stepped in to help provide liquidity

The coronavirus “sudden stop” needs credit support

March 24, 2020 | Rob Waldner, Chief Strategist and Head of Macro Research, Invesco Fixed Income

A fully functioning credit market will be essential to help households and businesses navigate the current economic environment

The Fed's 'whatever it takes' moment

March 23, 2020 | Turgut Kisinbay, PhD, Chief Global Market Strategist | James Ong, Director, Derivative Portfolio Management

The Federal Reserve undertakes one of the most aggressive monetary easing programs in history

Coronavirus impact and response: A global view

March 23, 2020 | Kristina Hooper, Chief Global Market Strategist

What can we learn from the hardest-hit countries, and what does this all mean for markets?

Rocky Balboa offers insights on whether investors should consider buying during the coronavirus outbreak

March 20, 2020 | Brian Levitt, Global Market Strategist, North America

Investors may be feeling down for the count, but history suggests the benefits of getting up off the mat

Chaos can create opportunities

March 19, 2020 | Talley Leger, Senior Investment Strategist

Bottoming is a process, but we see signs that risk-off positioning is getting extreme

The coronavirus is proving to be a black swan event – unpredictable and with massive consequences

March 19, 2020 | Justin Leverenz, Team Leader and Senior Portfolio Manager

Justin Leverenz examines the long-term impact the virus outbreak could have on economies, sectors, and companies

SteelPath March MLP update and news

March 18, 2020 | Brian Watson, CFA, Senior Portfolio Manager

As coronavirus concerns bring volatility to all markets, the fundamentals of the energy midstream sector still appear solid to us

Impact of the coronavirus on markets

March 17, 2020 | Brian Levitt, Global Market Strategist, North America

Brian Levitt shares his view on how the global economy and financial market will respond to the pandemic

Answers to FAQs about the recent market disruption – Part 2

March 17, 2020 | Brian Levitt, Global Market Strategist, North America

Global Market Strategist Brian Levitt provides additional perspective on the impact of the coronavirus

Assessing market liquidity

March 17, 2020 | Charles Hebert, Global Head of Trading Research

Perspective on the ease of trading across various markets amid this market disruption

Assessing the globe's three-pronged policy response to coronavirus

March 16, 2020 | Kristina Hooper, Chief Global Market Strategist | Brian Levitt, Global Market Strategist, North America

Health care, monetary, and fiscal policy will all play critical roles in combating this crisis

The coronavirus impact on fixed income markets

March 13, 2020 | Rob Waldner, Chief Strategist and Head of Macro Research, Invesco

A fundamentals-driven correction that may take some time to resolve

What to make of stocks entering bear market territory

March 12, 2020 | Brian Levitt, Global Market Strategist, North America

No one can predict when the current decline will end, but history has proven the benefits of long-term thinking

What could short-term volatility mean for long-term investors?

March 11, 2020 | Nick Kalivas, Senior Equity ETF Strategist

This current market volatility could lead to tomorrow's long-term opportunities

Answers to FAQs about the recent market disruption

March 11, 2020 | Brian Levitt, Global Market Strategist, North America

Global Market Strategist Brian Levitt provides perspective on the impact of the coronavirus and oil price wars

Money market funds will likely remain a safe haven in times of uncertainty

March 9, 2020 | Rob Corner, Senior Client Portfolio Manager

Recent Fed actions and past regulatory reforms support money market funds' objectives of delivering stability and liquidity

Could the surge in market volatility signal the end of the current market cycle?

March 9, 2020 | Kristina Hooper, Chief Global Market Strategist | Brian Levitt, Global Market Strategist, North America

Markets sell off over continued coronavirus concerns and new pressure on oil pricing

Energy infrastructure outlook amid the coronavirus outbreak

March 3, 2020 | Brian Watson, Senior Portfolio Manager

The market fell drastically on COVID-19 fears, but things may not be as bad as they seem for midstream

As markets struggle, where do global economies go from here?

March 2, 2020 | Kristina Hooper, Chief Global Market Strategist

We believe the Chinese economy may recover quickly, but the path for other regions will vary

Assessing the unknowns as coronavirus spreads

March 2, 2020 | Rob Waldner, Chief Strategist and Head of Macro Research, Invesco Fixed Income

Invesco Fixed Income is focused on how COVID-19 could impact individual issuers differently

The coronavirus knocked our 2020 outlook off track. But maybe not for long.

Feb. 25, 2020 | Brian Levitt, Global Market Strategist, North America

We're hopeful that the virus can be contained and that pent-up demand will support growth in the second half

Recent data reveal the economic impact of coronavirus

Feb. 24, 2020 | Kristina Hooper, Chief Global Market Strategist

Flash PMIs for a variety of countries are showing a coronavirus-related deterioration

The market impact of coronavirus has begun to spread

Feb. 18, 2020 | Kristina Hooper, Chief Global Market Strategist

Companies issue warnings that the epidemic will impact their revenue and earnings

Assessing the market impact of the coronavirus

Jan. 27, 2020 | Kristina Hooper, Chief Global Market Strategist

How does today's situation compare to the 2003 SARS outbreak?

How the Best Financial Professionals Communicate During Turbulent Times

May 27, 2020 | Invesco Global Consulting

Insights for being a top performer during current market conditions

Energy management for high performance

May 18, 2020 | Invesco Global Consulting

Foster resilience and energy in high stress environments

The Resilient Advisor

April 13, 2020 | Invesco Global Consulting

The Right Words at the Right Time