As we approach year-end, investors are navigating a market environment shaped by supply shocks, evolving central bank policies and a packed electoral calendar. Against this backdrop, our investment strategy is guided by a clear and disciplined assessment of opportunities and risks across asset classes. The following five questions and answers outline our current positioning on interest rates, the US dollar and equities, as well as the key convictions underpinning our outlook for the months ahead.
Read the analysis on the CIO Perpectives
24 septiembre 2026
