Annual Market Research
View the latest research and analyses on current market movements
2024 Research Report
Global growth is expected to slow but remain positive, thus lending support to risk assets. Still, the shifting macro expectations and geopolitical uncertainty will continue to drive market volatility.
The key is for investors to stay nimble and maintain a diversified core portfolio for resilient long-term returns.
2025 Research Report
The combination of resilient growth and accommodative monetary policy should support markets going into 2025.
Nevertheless, there are downside risks including inflation, trade uncertainty and geopolitical tensions. Hence, we reiterate the importance of maintaining a well-diversified portfolio to achieve optimised returns over time.