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Categories
  • Outlook
  • Equity
  • Fixed Income
  • Markets & Economy
  • Client Solutions
  • ESG
  • Fixed Income

    European market outlook: Clouds on the horizon
    March 27, 2023
    Elaine Lin
  • Market Volatility

    What the SVB collapse means for investors
    March 23, 2023
  • Federal Reserve

    Quick take: Bank failures push Fed to proceed with caution
    March 23, 2023
  • Market Volatility

    Asian banks: end of Fed hiking could be key
    March 17, 2023
    Rahul Sadiwala
  • Market Volatility

    ECB hikes rates but financial instability clouds outlook
    March 17, 2023
    Robert Lind
  • Market Volatility

    European bank sell-off hard to reconcile with fundamentals
    March 16, 2023
    Anita Patel
  • Market Volatility

    Quick take: How SVB’s collapse changes the Fed’s calculus
    March 16, 2023
    Timothy Ng
  • Fixed Income

    Navigating different market conditions requires a flexible approach
    March 15, 2023
  • Market Volatility

    Views on the collapse of SVB Financial
    March 14, 2023
  • Global Equities

    Multinational companies can thrive in tough times
    March 3, 2023
  • U.S. Equities

    3 views on the future of growth investing
    February 24, 2023
  • Energy

    5 trends driving energy markets in 2023
    February 23, 2023
  • Fixed Income

    Investment grade outlook - security selection may be key to managing uncertainty
    February 23, 2023
    Damir Bettini
  • Multi-Asset

    Are 60-40 portfolios set for a comeback?
    February 16, 2023
    Julie Dickson
  • Fixed Income

    A multi-sector approach for reliable income
    February 14, 2023
  • India

    Can India take advantage of growing China Plus One strategy?
    March 27, 2023
  • Trade

    Reshoring supply chains: What does it mean for investors?
    February 10, 2023
  • Federal Reserve

    Quick take: Optimistic Fed not declaring victory over inflation
    February 6, 2023
    Tom Hollenberg
  • Long-Term Investing

    Rob Lovelace shares his view on the current bear market
    February 3, 2023
    Rob Lovelace
  • Bonds

    A framework for navigating uncertainty
    January 30, 2023
  • Equity

    China: What could drive its markets in 2023
    January 27, 2023
  • Bonds

    EMs with stronger fundamentals should see inflows
    January 25, 2023
    Peter Becker
  • Fixed Income

    Fixed Income Perspectives January 2023
    January 24, 2023
  • Fixed Income

    Macro insights: Outlook for bonds brighter even as growth concerns linger
    January 23, 2023
  • Fixed Income

    Emerging markets debt: Valuations appear attractive despite uncertain macro backdrop
    January 23, 2023
  • Fixed Income

    European interest rates: Increased dispersion presents opportunities
    January 23, 2023
  • Global Equities

    Four trends could power an industrial renaissance
    January 20, 2023
  • World Markets Review

    World markets review - Fourth quarter 2022
    January 13, 2023
  • Japan

    Japan: forging economic resilience amid global headwinds
    January 5, 2023
    Anne Vandenabeele
  • Central Banks

    The economy in 2023: Where we differ from market consensus
    January 3, 2023
  • Bonds

    Bond market outlook: Prospects brighten as Fed slows hikes
    December 16, 2022
  • Markets & Economy

    Quick take: Five insights on Fed policy after the latest rate hike
    December 15, 2022
  • U.S. Equities

    U.S. markets outlook for 2023
    December 12, 2022
  • Fixed Income

    Securitised credit: A useful diversifier in bond portfolios
    December 7, 2022
    Xavier Goss
  • Fixed Income

    EMD outlook for 2023: local currency yields offer protection in volatile conditions
    December 1, 2022
  • Politics

    Quick take: Austerity deferred in the UK
    November 21, 2022
    Robert Lind
  • Markets & Economy

    Quick take: Seven questions around recession in Europe
    Robert Lind
  • Market Volatility

    “Courage! We have been here before”
    November 17, 2022
  • Long-Term Investing

    Taking a long-term view
    November 16, 2022
  • Fixed Income

    Asian fixed income: Careful navigation required
    November 16, 2022
  • Dividends

    Dividends: Building resilience in a new market reality
    November 10, 2022
  • Fixed Income

    The pursuit of consistent income streams
    November 10, 2022
    Damien McCann
  • Election

    Brazil presidential election outcome
    November 8, 2022
    Thomas Kontchou
  • China

    Five outcomes from 20th Chinese Communist Party Congress
    November 8, 2022
    Kent Chan
  • Fed

    The Fed’s big question: how high is high enough?
    November 8, 2022
  • Markets & Economy

    New reality for investors: 5 big trends changing markets
    November 3, 2022
    Jody Jonsson
  • Market Volatility

    Recession watch: triggers, outlook and what next for central banks
    October 31, 2022
  • Equity

    Can non-U.S. equities overcome a strong U.S. dollar?
    October 28, 2022
  • Fixed Income

    Navigating dark clouds across emerging markets debt
    October 27, 2022
  • Fixed Income

    Unearthing opportunities in Asian credit markets
    October 27, 2022
  • Fixed Income

    Fixed Income Perspectives October 2022
    October 25, 2022
  • Market Volatility

    Quick take: Britannia unhinged
    October 25, 2022
    Robert Lind
  • Fixed Income

    U.S. midterm elections: Will the House flip?
    October 21, 2022
    Matt Miller
  • Fixed Income

    Attractive opportunities remain across 4 key credit markets
    October 17, 2022
  • Equity

    World markets review - Third quarter 2022
    October 11, 2022
  • Market Volatility

    When short term pain can bring long term gains
    October 6, 2022
    Flavio Carpenzano
  • Market Volatility

    Braving bear markets: 5 lessons from seasoned investors
    September 30, 2022
  • Fixed Income

    5 reasons to invest in US high yield
    September 30, 2022
  • Market Volatility

    Running the rule over Truss & Kwarteng’s fiscal radicalism
    September 30, 2022
  • Currencies

    Global outlook: all eyes on where US inflation lands
    September 30, 2022
    Jens Sondergaard
  • Inflation

    Is high inflation the ultimate pandemic distortion?
    September 29, 2022
  • Market Volatility

    When will the bear market end?
    September 29, 2022
  • Fixed Income

    Four roles your bond portfolio should play
    September 23, 2022
    Flavio Carpenzano
  • Equity

    Why research is critical when it comes to China investing
    September 16, 2022
    Andrew Lee
  • Election

    Can U.S. midterm elections move the market? 5 charts to watch
    September 15, 2022
  • Fixed Income

    Fixed income at Capital Group targets predictable outcomes
    January 18, 2023
    Mike Gitlin
  • Fixed Income

    The case for investment grade corporate bonds
    September 14, 2022
  • Market Volatility

    Recession watch: lessons from history and key economic indicators
    September 13, 2022
  • Bonds

    Rising yields put bond markets back on a road to normal
    September 6, 2022
    Mike Gitlin
  • Japan

    Uniquely Japan: Navigating Asia's largest advanced economy
    September 1, 2022
  • Politics

    Will the war in Ukraine outlast European unity?
    August 24, 2022
    Talha Khan
  • Multi-Asset

    Multi-asset investing in times of volatility
    August 18, 2022
    Julie Dickinson
  • Currencies

    How long might the dollar rally last?
    August 11, 2022
    Jens Sondergaard
  • Equity

    Equity investing in an inflationary environment
    August 11, 2022
    Christophe P. Braun
  • United States

    Is the US already in a recession?
    August 5, 2022
  • Fixed Income

    Fixed Income Perspectives July 2022
    July 27, 2022
  • Fixed Income

    Income as the anchor of a portfolio amid volatility
    July 21, 2022
    Flavio Carpenzano
  • Active Management

    2022 Midyear Outlook report
    July 21, 2022
    Rob Lovelace
  • Japan

    Yen's plummet puts Bank of Japan in a bind
    July 20, 2022
    Anne Vandenabeele
  • Europe

    ECB faces tough choices as it prepares to raise rates
    July 19, 2022
    Robert Lind
  • Portfolio Construction

    Building resilient portfolios amid inflation
    July 19, 2022
    Nisha Thakrar
  • Equity

    The persistence of dividend growers
    July 8, 2022
    Grant L. Cambridge
  • Fixed Income

    Where are the risks and opportunities in high yield and EMD?
    July 5, 2022
    Rob Neithart
  • Emerging Markets

    Emerging market debt: an active approach
    July 4, 2022
    Jeremy J.W. Cunningham
  • Fixed Income

    A more constructive outlook for corporate bonds, but caution is still warranted
    July 5, 2022
  • Outlook

    Rob Lovelace on all-weather investing
    June 30, 2022
    Rob Lovelace
  • Bonds

    Why should you consider owning bonds now?
    June 27, 2022
  • Fixed Income

    Credit investing amid heightened market volatility
    June 22, 2022
    Peter Becker
  • Outlook

    Bond outlook: What to know as Fed fears hit markets
    June 21, 2022
  • Fixed Income

    Look to credit opportunities amid bond market rout
    June 17, 2022
  • Fixed Income

    The US Fed's aggressive path could mean more market turmoil
    June 16, 2022
  • Trade

    Supply chain shifts signal reglobalisation
    June 20, 2022
  • Market Volatility

    A focus on inflation
    June 14, 2022
  • Emerging Markets

    Emerging markets and rising US interest rates
    June 1, 2022
  • Stock

    Globalisation: the reports of its demise are greatly exaggerated
    May 25, 2022
  • Currencies

    Downturn in the US financial cycle may be near
    May 20, 2022
    Jens Sondergaard
  • Fixed Income

    Navigating the foggy road to normal
    May 19, 2022
    Mike Gitlin
  • Market Volatility

    Relative value in EM local markets
    May 13, 2022
    Kirstie Spence
  • Aerospace

    Air travel is taking off again
    May 12, 2022
  • Emerging Markets

    Does the EM debt repricing present a good entry point?
    May 5, 2022
    Harry Phinney
  • Global Equities

    When volatility is rising, boring is beautiful
    May 3, 2022
  • Market Volatility

    The lowdown on inflation in the US and Europe
    April 29, 2022
  • Fixed Income

    Fixed Income Perspectives
    April 28, 2022
  • Market Volatility

    Investing amid exacerbating inflationary pressures
    April 22, 2022
  • Interest Rates

    Is the era of easy money coming to an end?
    April 21, 2022
  • Dividends

    Rotating into dividends in an inflationary world
    April 20, 2022
  • Fixed Income

    Investing in fixed income in a rate hiking cycle
    April 13, 2022
    Keiyo Hanamura
  • China

    My investment lessons from 40 years in China
    April 13, 2022
    Steve Watson
  • China

    How to think about investing in China today
    April 7, 2022
  • Market Volatility

    Q&A: Investing amid geopolitical uncertainty
    April 6, 2022
  • Market Volatility

    Germany's 'no' to energy embargo may prove untenable
    April 4, 2022
    Robert Lind
  • Fixed Income

    The role of fixed income
    March 31, 2022
    Flavio Carpenzano
  • Markets & Economy

    Is the spike in commodity prices sustainable?
    March 24, 2022
  • Market Volatility

    Q&A on Russian debt
    March 17, 2022
    Robert Burgess
  • Market Volatility

    Why we think the Fed is still behind the curve
    March 17, 2022
  • Market Volatility

    Commodity prices drive differentiation within EMD
    March 15, 2022
    Kirstie Spence
  • Market Volatility

    Russia-Ukraine conflict: The geopolitical and economic impact
    March 10, 2022
  • Market Volatility

    Impact of the rise in commodity prices on EM equities
    March 7, 2022
    Martyn Hole
  • Market Volatility

    Implications of Russia’s expulsion from major indices
    March 4, 2022
  • Market Volatility

    The Russia-Ukraine war could cast a meaningful economic shadow
    March 3, 2022
  • Market Volatility

    The West is united
    March 3, 2022
    John Emerson
  • Market Volatility

    EU policymakers may look to mitigate economic shock
    March 3, 2022
    Robert Lind
  • Market Volatility

    Impact of the Russia-Ukraine conflict on European banks
    March 3, 2022
    Matteo Merlo
  • Market Volatility

    Biden and Europe walk energy tightrope
    March 3, 2022
    Talha Khan
  • Market Volatility

    Energy price stabilization largely depends on sanctions
    March 3, 2022
    Przemek Nowak
  • Market Volatility

    U.S. economy faces heightened inflation risk
    March 3, 2022
    Darrell Spence
  • Market Volatility

    Invasion of Ukraine could mark turning point for cybersecurity
    March 8, 2022
    Julien Gaertner
  • Market Volatility

    U.S. defense scenario analysis
    March 8, 2022
    Shane Fogarty
  • Emerging Markets

    Gauging the impact of the Russia/Ukraine conflict on EM debt
    February 28, 2022
    Kirstie Spence
  • Market Volatility

    Staying the course
    February 28, 2022
  • Market Volatility

    Russia-Ukraine conflict threatens global economy
    February 25, 2022
    Robert Lind
  • Fixed Income

    Investing in fixed income during a hiking cycle
    February 22, 2022
    Keiyo Hanamura
  • Fixed Income

    When one plus one equals more than two
    February 22, 2022
    Rob Neithart
  • Market Volatility

    How to handle market declines
    February 11, 2022
  • Automotive

    Electric vehicles: charging towards a sustainable world
    February 9, 2022
  • Technology & Innovation

    Storm cloud: Look past turbulence in US software stocks
    February 7, 2022
  • China

    How demographic challenges are shaping the China investment story
    February 1, 2022
    Andrew Lee
  • Fixed Income

    Fixed Income Perspectives January 2022
    January 24, 2022
  • European Equity

    Investing in growing opportunities in Europe
    January 20, 2022
  • China

    How demographic challenges are shaping the China investment
    January 17, 2022
    Andrew Lee
  • Fixed Income

    Global corporate bonds 2022 outlook
    January 17, 2022
    Peter Becker
  • Currencies

    The pros and cons of Bitcoin
    January 4, 2022
  • Federal Reserve

    What the Fed pivot could mean for US rates, inflation and economy
    December 16, 2021
  • Europe

    Outlook for European equities: modest returns and volatility expected in 2022
    December 16, 2021
    Robert Lind
  • Emerging Markets

    Emerging market debt outlook for 2022
    December 9, 2021
    Kirstie Spence
  • Fixed Income

    5 reasons to invest in US high yield corporate bonds
    December 2, 2021
  • Fixed Income

    EM inflation elevated, but relatively contained
    November 12, 2021
    Arjun Madan
  • Fixed Income

    The role bonds play in a portfolio
    November 8, 2021
    Flavio Carpenzano
  • Technology & Innovation

    3 ways the cloud can change our future
    November 4, 2021
    Andy Budden
  • Inflation

    Pricing power can help companies fight inflation
    October 28, 2021
    Diana Wagner
  • Europe

    Europe: 6 reasons for higher inflation and faster growth
    October 22, 2021
    Robert Lind
  • Emerging Markets

    Frontier markets post-pandemic
    October 22, 2021
    Holger Siebrecht
  • Fixed Income

    Fixed Income Perspectives October 2021
    October 22, 2021
  • Inflation

    US Inflation: Transitory or troublesome?
    October 15, 2021
  • Equity

    Investing in a cloud-powered world
    October 13, 2021
  • China

    China's economy risks a sharp slowdown in growth
    October 6, 2021
    Stephen Green
  • Equity

    Japan corporate governance: More reforms are on the way
    September 28, 2021
    Harry Gunji
  • Monetary Policy

    The long unwinding road: Our take on Federal Reserve tapering and U.S. inflation
    September 24, 2021
  • Europe

    Europe: reasons for optimism...and caution
    September 20, 2021
    Martyn Hole
  • Demographics & Culture

    Will the pandemic threaten the future of big U.S. cities?
    September 17, 2021
  • Equity

    Above the cloud: investment opportunities across the value chain
    September 17, 2021
  • Emerging Markets

    10 trends reshaping the future of emerging markets
    September 15, 2021
    Valeria Vine
  • Technology & Innovation

    Beyond the FAANGs: Tech savvy companies in non-tech sectors
    September 3, 2021
  • Technology & Innovation

    5 predictions for the future of US media
    August 26, 2021
    Nathan Meyer
  • Fixed Income

    5 themes to investing in global bond markets
    August 23, 2021
    Andrew Cormack
  • China

    What does heightened China risk mean for investors?
    August 9, 2021
  • Fixed Income

    Fixed Income Perspectives July 2021
    July 23, 2021
  • Interest Rates

    US debt ceiling deadline could disrupt money markets
    July 19, 2021
  • Global Equities

    5 investment lessons from the pandemic era
    July 15, 2021
    Steve Watson
  • Technology & Innovation

    Big Tech stocks: How to gauge regulatory risk
    July 1, 2021
    Tracy Li
  • Interest Rates

    Market's view of transitory inflation may be premature
    June 29, 2021
  • Active Management

    2021 Midyear Outlook: Turning points on the road to recovery
    June 25, 2021
  • Currencies

    4 things global financial cycles are telling us
    June 16, 2021
    Jens Sondergaard
  • Emerging Markets

    Why emerging markets local currency debt in 4 charts
    June 10, 2021
  • Equity

    Why active investing is the way to go for Japanese equities
    May 28, 2021
    Christophe P. Braun
  • Fixed Income

    Global corporate bonds Q&A with Damir Bettini
    May 21, 2021
    Damir Bettini
  • Bonds

    4 reasons why US debt may not spin out of control
    May 18, 2021
  • Fed

    Quick-take on the US inflation outlook
    May 17, 2021
  • Currencies

    How to talk to clients about Bitcoin
    May 14, 2021
  • Fixed Income

    Fixed Income Perspectives April 2021
    April 30, 2021
  • U.S. Equities

    A veteran PM’s view on the pandemic’s long term impact
    April 30, 2021
    Martin Romo
  • Equity

    Time to rethink value versus growth
    April 30, 2021
    Nisha Thakrar
  • Global Equities

    Semiconductors could be the new oil – here’s why
    April 22, 2021
  • Bonds

    US high-yield bonds: 5 things to know today
    April 21, 2021
  • Long Term Investing

    The World in 2030: 10 predictions for long-term investors
    April 20, 2021
    Rob Lovelace
  • Global Equities

    The aviation industry: Five reasons for resilience
    April 9, 2021
    Todd Saligman
  • Equity

    Bitcoin bubble or currency of the future?
    April 6, 2021
  • Fixed Income

    Amid a US economic boom, how high can rates go?
    April 6, 2021
  • Long-Term Investing

    A distinctive approach to investing
    April 1, 2021
    Rob Lovelace
  • Market Volatility

    Maintaining a long-term perspective in volatile markets
    April 1, 2021
  • Bonds

    Rising US rates: Untangling the Fed vs. market debate
    March 29, 2021
  • Long-Term Investing

    The post-COVID world, with Capital Group's Night Watch
    March 24, 2021
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    Why invest in EM local currency debt?
    March 19, 2021
    Peter Becker
  • Global

    COVID and beyond: navigating the markets
    March 11, 2021
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    The coming M&A wave: 5 key questions answered
    March 11, 2021
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    China: Policy and investment implications under Biden
    March 9, 2021
  • Global Equities

    Beyond Tesla: Electric cars shift into the fast lane
    March 4, 2021
  • Long-Term Investing

    The world in 2030: Investing for the next decade
    February 19, 2021
  • Fixed Income

    Will the Fed’s new policy framework bring higher inflation?
    February 11, 2021
    Timothy Ng
  • U.S. Equities

    Has big tech become too big?
    February 11, 2021
  • U.S. Equities

    How pent-up demand could fuel U.S. market recovery
    February 5, 2021
  • Equity

    Capital Ideas Talks with Martyn Hole
    February 3, 2021
    Martyn Hole
  • Fixed Income

    Fixed Income Perspectives January 2021
    January 28, 2021
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    Rob Lovelace on the year ahead
    January 28, 2021
    Rob Lovelace
  • Markets & Economy

    Capital Ideas Talks: Talking macro with Robert Lind
    January 27, 2021
    Robert Lind
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    Washington watch: Priorities emerge under new leadership
    January 21, 2021
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    What lies ahead for the US economy?
    January 11, 2021
    Darrell Spence
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    Capital Group New Economy: designed to capture growth and innovation
    January 7, 2021
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    Brexit deal builds new barriers to UK-EU trade
    December 31, 2020
    Robert Lind
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    2021 Outlook: Turning points on the road to recovery
    December 16, 2020
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    The outlook for U.S. credit in a recessionary economy
    May 21, 2020
    Damien McCann
  • Market Volatility

    4 ways to stay calm when markets stumble
    March 5, 2020
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