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12 December 2025

Outlook 2026: Sustainability's reality check

Europe’s journey with ESG (Environmental, Social, and Governance) investing has been nothing short of transformative. In the early 2020s, a wave of sustainable finance swept the continent, with investors, institutions and policymakers rallying behind ambitious net-zero targets, climate-focused funds booming and regulatory frameworks like the EU’s Sustainable Finance Disclosure Regulation (SFDR) setting the pace for global markets. But the landscape is shifting. Initial exuberance is giving way to a more pragmatic approach. Nonetheless, in the face of intensifying pressures such as climate shocks, the integration of ESG considerations into investment decision making has become all the more pressing, in order to manage risks and maintain competitiveness and future-readiness.

1 December 2025

Outlook 2026: European sovereignty takes centre stage

In the face of external threats, the EU is responding. Sovereignty is no longer an abstract aspiration - the EU’s focus is on securing and shaping its own future - as set out in the European Commission’s 2026 work programme, entitled ‘Europe’s independence moment’.

25 June 2025

Mid-year fixed income outlook

Recent policy developments in the United States, particularly those related to inflation and long-term debt sustainability, have brought significant implications for global fixed income markets. With the fiscal outlook becoming increasingly strained, it is an interesting moment to assess how markets are reacting and how investors should position themselves in the current environment.