ENDURANCE UNDER PRESSURE
Our 10-year Capital Market Assumptions look beyond cyclical fluctuations and focus on the structural forces poised to influence the decade ahead.
2026 Q1 MACRO OUTLOOK
Welcome to another edition of Vantage Point, the quarterly economic and markets outlook from the BNY Investment Institute.
BNY Investments Newton Portfolio Manager and Quantitative Analyst Paul Byrne explores how active, volatility-managed portfolios can help investors navigate today’s market risks.
Absolute return bond strategies aim to deliver steadier outcomes by prioritising capital preservation and actively managing volatility. This approach offers investors a potentially more resilient way to navigate uncertain markets, writes Shaun Casey, senior portfolio manager at Insight Investment.
Fixed Income isn’t just defensive—it can be essential to offsetting equity risk. From historically high valuations to a potential recession and rising interest rates, we illustrate the buffer bonds can provide. We believe fixed income plays a vital role in mitigating these six core challenges investors face.
Equity volatility is rising, but all is not what it seems. The technology sector is weighing on the S&P 500 while value and cyclical stocks lead. A market rotation is underway as many investors begin to favor companies beyond tech.
REPORTS
REPORTS
Welcome to our latest Assessment of Value Report.
The value of investments can fall. Investors may not get back the amount invested.
Investment Managers are appointed by BNY Mellon Investment Management EMEA Limited (BNYMIM EMEA), BNY Mellon Fund Managers Limited (BNYMFM), BNY Mellon Fund Management (Luxembourg) S.A. (BNY MFML) or affiliated fund operating companies to undertake portfolio management activities in relation to contracts for products and services entered into by clients with BNYMIM EMEA, BNY MFML or the BNY Mellon funds.
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