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BlackRock Investment Institute/Markets

BlackRock Investment Institute/Markets



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Brexit-related sentiment swung wildly last week amid UK political turmoil. Scott takes stock of recent Brexit headlines and the investing implications. We identified geopolitical risk as the key market driver in the second half of 2019 in our midyear investment outlook. The UK is the latest example, where deep divisions...
Global trade frictions have intensified this summer. This reinforces a key plank of our outlook but may challenge our moderately pro-risk stance. Mike explains. U.S.-China trade tensions have escalated, echoing our midyear outlook protectionist push theme, and bond yields have fallen to new lows. We do not see a near-term...
Elga discusses how conventional and unconventional monetary policy space is limited and rapidly being used up even before central banks respond to the next downturn, let alone a full-blown recession. This is the second in a series of four blogs on the topic of “Dealing with the next downturn.”...
BlackRock’s Chief Investment Strategist for APAC Ben Powell shares how childhood curiosity led him to a career in finance, what he has learned from jiu-jitsu and more in the latest installment in our ongoing series of Q&As with BlackRock investment strategists. We recently chatted with Ben Powell, BlackRock’s Chief Investment...
Mike shares his thoughts on how to make sense of the recent market turbulence – and what it means for investing. Global markets went on a wild ride last week amid deepening risk-off mood. Perceived safe-haven assets such as gold and government bonds rallied at the expense of risk...
A surprise tariff announcement by the U.S. met with an unexpected depreciation in the Chinese currency, sending shock waves across global markets last week. This latest escalation in U.S.-China tensions reinforces our view that trade and geopolitical frictions have become the key driver of the global economy and markets....
We see the dovish pivot by global central banks supporting the economic expansion and risk assets, with rising protectionism the key risk. Elga explains. The Fed confirmed global central banks’ dovish pivot last week, as it cut rates for the first time since 2008, albeit by less than some...
Mike explains the importance of government bonds in building portfolio resilience and share tips on how to do so. We see raising portfolio resilience as a key theme for investors – not only for this year but over a long term. It’s crucial to safeguard a portfolio against a...
Mike explains why we have decided to upgrade our call on European assets, from equities to government bonds. We see the European Central Bank (ECB) shifting decisively dovish in coming months, against the backdrop of stabilizing growth outlook and persistent inflation undershoots. This is the main reason that has...
We see income, or carry, as the key driver of bond market returns in today’s low-for-long world. Scott explains, and shares updated granular views of various fixed income asset classes. Central banks are shifting toward monetary easing, as they seek to cushion a global growth slowdown sparked by rising trade...