Asset Allocation Update Japanese capital repatriation still not a big threat In light of recent market developments, we are re-sending this Update on the implications of higher Japanese yields for global markets. Despite the continued rise in JGB yields, we don’t think global... 28th May 2026 · 4 mins read
Capital Daily Will bumper US IPOs really break the stock market’s back? Not all high-profile US initial public offerings (IPOs) have presaged major corrections in the S&P 500. Nonetheless, this year’s hotly anticipated ‘AI’ deals – from SpaceX, Anthropic, and OpenAI – are... 27th May 2026 · 5 mins read
Latin America Economics Update What lies in store for Colombia’s markets post-election? Colombian assets would rally in the event of a victory for a right-wing candidate in the presidential election. Local currency bond yields appear to have the greatest scope to stage a post-election... 27th May 2026 · 3 mins read
Africa Chart Pack Africa Chart Pack (May 26) Higher energy prices will boost Angola and Nigeria’s economies. With elections on the horizon, governments are likely to spend their windfall. Most others in the region are having to manage worse... 27th May 2026 · 1 min read
Capital Daily Treasury rally still has further to run, if peace actually breaks out Even after their recent rebound, long-term government bonds arguably have more room than equities (and most currencies) to stage a further recovery from the energy price shock if there is a sustained... 26th May 2026 · 4 mins read
Emerging Markets Economics Update Emerging Markets Capital Flows Monitor (May 2026) Capital outflows from EMs have generally eased over the past month. Further progress in talks between the US and Iran to re-open the Strait of Hormuz would help outflows to decline further. But even... 26th May 2026 · 2 mins read
India Economics Update India trip notes – heatwave, rupee, RBI and AI A week spent visiting clients and contacts in Delhi and Mumbai has underscored the extent to which the Middle East conflict is reverberating through the economy. Several of our discussions were... 26th May 2026 · 5 mins read
Capital Daily Three things that might limit any re-opening relief rally The chances of a large, broad-based relief rally if a the Strait of Hormuz is re-opened have probably diminished over time, although some markets have more upside than others. One that might benefit... 25th May 2026 · 6 mins read
Emerging Markets Economics Chart Pack Emerging Markets Chart Pack (May 2026) The conflict in the Middle East will lead to sharp falls in GDP in the Gulf economies and weigh on activity in energy importers, especially in Asia. Inflation has started to pick up and central banks... 22nd May 2026 · 1 min read
Emerging Europe Economics Weekly Markets rattled in Turkey, stagflation risks in Poland The ruling by a Turkish court which removed the opposition leader from his position has sparked capital outflows and will compound strains in the balance of payments resulting from the energy shock... 22nd May 2026 · 6 mins read
India Economics Weekly Should the RBI let the rupee go? The rupee finally got some respite towards the end of this week, but not before falling to a fresh all-time low of 96.8/$ on Wednesday. Should the pressure on the rupee persist, it looks increasingly... 22nd May 2026 · 3 mins read
Equities Focus Will AI earnings keep fuelling gains in the S&P 500? Any unravelling of the AI-related boom in earnings would upend the S&P 500. But even though there are reasons why that could conceivably happen, our base case is that the boom won’t turn to bust this... 21st May 2026 · 15 mins read
Bonds Update The JGB selloff is nearing a crucial point While FX intervention dominated the headlines a couple of weeks ago, Japan’s bond markets have come under increasing pressure. This Update argues that most of the past rise in yields has been benign... 21st May 2026 · 5 mins read
Capital Daily Are equities a bigger threat to bonds than the other way around? While much has been made of the potential threat to equities from soaring bond yields, recent developments suggest there’s a case that the equity rally, or at least the associated investment boom, is... 21st May 2026 · 4 mins read
Capital Daily Forget the S&P’s 500 valuation, its earnings are flashing red One consequence of the US stock market’s resilience to the recent sell-off in Treasuries has been a decline in the US equity risk premium (ERP). Nonetheless, the US stock market’s relative valuation... 20th May 2026 · 4 mins read
Capital Daily What would it take to trigger the “Trump put”? With the pain in global government bond markets intensifying over recent days and equity markets starting to wobble too, the so-called “Trump put” may soon come into play again. But, judging by the... 19th May 2026 · 5 mins read