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An Update on Dividend Aristocrats
An Active Fundamental Approach to the US Market
The Tidal Wave of Global Debt: Causes and Consequences
EM Equities at a Crossroads: Which Signs to Follow?
Elections Extend US Dollar Strength
Disinflation Exception? The Special Case Of Insurance Costs
Environmental Stewardship Highlights
The US Housing Recession Is Over
Global High Yield Update – Q2 2024
Growth Fuels Currency Moves
Real Assets Insights: Q1 2024
US Economy Powers Ahead
A Letter From Our CIO: Systematic Equity Update
Sentiment Improves for Fixed Income
Long-Term Asset Class Forecasts: Q3 2024
When Policy Rates Are Higher Than Growth
Investing in Sustainable Growth: Q2 2024
Emerging Markets: Choose the Right Target
US Small Businesses Scale Back Hiring, Compensation Plans
The Case for Defensive Equity Strategies
How To Invest: A Step by Step Guide
Five Reasons to Invest with the Fundamental Growth and Core Equity Team
Stewardship Activity Report: Q2 2024
Pessimistic US Consumers May Have A Point, After All
Global Market Portfolio 2024
Asset Tokenization in Capital Markets
Emerging Market Debt Commentary: November 2024
Election Overshadows Fed's Rate Cut
US Public Debt at Record High
Investor Sentiment: Institutional Fixed Income Flows and Holdings
Q1 Investment Outlook
Small Caps Remain Sensitive to Yields
US Housing Activity Shifts
S&P 500 Leadership Shifts Beyond Tech
De-Risking Effectively Using Fixed Income Building Blocks
How to Position for Geopolitical Shocks in 2024
January a Bump on, Not the End of US Disinflation Journey
UK Elections: Potential for Upside Surprises
Market Forecasts: Q4 2024
Inflation Signals December Rate Cut
The Role of Active, Index and Systematic Investing in Fixed Income Portfolios
US Macro Data Coming in Hot and Cold
Lending Returns Decline Along With Volatility
Casting a Wide Net: Why True Passive Strategies Are Rare Catches
Monthly Cash Review - GBP
Six Grey Swans That Could Move Markets in 2025
Weighing Your De-Risking Options
Odds of Larger ECB Cuts Increase
Europe in the Spotlight
2022 Global Retirement Reality Report: Ireland Snapshot
Adapt and Thrive: Evolution and Innovation in Emerging Markets
Macro Resilience Continues to Support Markets
Fed Balance Sheet And Financial System Liquidity Measures
Real Assets Insights: Q4 2024
Long-Term Asset Class Forecasts: Q1 2025
The Rise in Systematic Credit Investing
Temperature Scores: A Guide to Climate Alignment Metrics
Global Convertible Bonds: A Balanced Profile for a Soft Landing
The Wait Is Over
Bank of England Considers Rate Cut in Coming Quarters
Overweight in High Yield Extended
SSGAL Section 172 Statement
Understanding Money Market Funds
The Fed forays into ETFs
Black Sheep of US Macro Proves Economy Slowing
Putting the Power of AI to Work in Investing
Exploring the Full Spectrum of Fixed Income Strategies
Long-Term Asset Class Forecasts: Q2 2024
Japan’s Path Ahead Amid Political Uncertainty
Emerging Market Debt: Market Commentary Q2 2024
France’s Fiscal Fragility Strains the Eurozone
Commodities Now an Overweight
Global High Yield Update – Q3 2024
Optimizing a Global Credit Portfolio
Commodities Set for Revival Amid Global Shifts
Alpha Insights: Positioning for Peaking Yields
Exploring Transformative Technologies
Stewardship Activity Report: Q3 2024
Equities and the Path Forward
US Unemployment Measures Are Gently Bottoming Out
Emerging Markets Beyond China
Inflation Continues to Dominate Market Action
High Yield in Focus
Financial Stocks: Banking on Trump
Path Clear for Rate Cut in September
Investment Implications of BOJ’s Great Normalization
Data Keeps Alive Chance of March Fed Cut
Real Assets and Private Market Liquidity Considerations
Rising Yields Signal Economic Resilience
ECB Has Room to Cut More
Emerging Market Debt Commentary: Q4 2024
Labor Market Resilience Offsets Geopolitical Tensions
The Evergreen Case for a Strategic Allocation to High Yield
Finding the Right Path: Implementation Guide
India: Where the Fireworks Come From
The Challenging Sustainable Investing Landscape One Size Does Not Fit All
Emerging Market Debt Market Commentary: February 2024
Prospects for a Turnaround in European Equity Fortunes
USD Poised for Downward Correction
Navigating Sustainable Investing Regulation as a Driver of Opportunity and Risk
Tariffs Pose Risk to the US Deficit
The Case for High Yield
The Fixed Income Side of Factor Investing: What Investors Need to Know
European Parliament Elections Matter in the Medium Term
Emerging Market Equities: A Golden Era for Alpha Gen?
Our Annual Task Force on Climate-related Financial Disclosures (TCFD) Report is Here
LDI Monthly Update: March 2024
UK Budget: 7 Takeaways for UK Pension Schemes
EMD Hard Currency
Q4 2024 Credit Research Outlook
Convertibles Steer Through 2025 Turbulence Smoothly
Don’t Sell the US Dollar Yet
Canada GDP Growth Exceeds Expectations
Shocks and Reversals
Introduction to SPDR Portfolio Consulting
Forecasts Improve for the Agg
A Better Macro Policy Framework for Europe
Economic parallels: China's future and the echoes of Japan's lost decades
Supply Chains Before and After the Pandemic
Quarterly Edition: Gentle Step Down in Global Growth
Regaining Retirement Confidence in a Post-Pandemic Environment
Mexico’s New Government: A Pivotal Moment for the Country’s Investment Story
US Employment Report Triggers Rate Cuts Rethink
5 Emerging Market Wildcards for 2025
US Economy Is Slowing
Emerging Opportunities
Will These Grey Swans Take Flight in 2025?
Capturing Leveraged Loan Beta: How Index Strategies Can Be an Effective Vehicle for Loan Market Exposure
Political and Economic Unknowns Drive Equity Sector Shifts
Sector ETF Momentum Map
Unlocking the Korea Discount
The Bullish Case for Japanese Equities
How Indexed High Yield Can Complement Private Market Allocations
The Problem With Too Long of a Fed Delay?
2024 ETF Impact Survey
Gold Nuggets: Records Are Made to Be Broken
Q3 2024 Cash Outlook
Espresso
Making It Plain: Our Asset Stewardship Approach
The French Election and the Markets
Expectations Improve for US Equities
Credit Style Factors Explained
Zooming Out: A Comprehensive Approach to Defining Economic Cycles
Emerging Market Debt at State Street Global Advisors
Market Forecasts: Q3 2024
Macroeconomic Outlook 2025
US Mid Caps: The Goldilocks Equity Sector in a Trump World
Market Regime Indicator: Q1 2024
Evolution of Trading in Emerging Markets
Global CIO Reaction to US Presidential Election
The Case for Emerging Markets Small-Cap Equity
Emerging Market Debt Commentary: Q1 2024
Investment Outlook
An Advanced Perspective on Securities Lending
The Evolving Opportunity in Emerging Market Equities
Portfolio Protection: A Renaissance for Government Bonds
LDI Monthly Update: February 2024
Smart Beta Compass
Finding the Right Path
Robust Growth in UK Services Activity
Portfolio Construction Beyond 60/40
Case Studies on Climate-Thematic Equity Investment Solutions
Latest Data Suggests Need for Urgency
Rising Political Risks Drive Currency Markets
DeepSeek’s Game-Changing Implications for the AI Play
Lofty Real Rate Expectations
Market Forecasts: Q2 2024
A Time for Sentiment
Will Red Sea Trade Disruptions Be a Pandemic-Level Shipwreck?
Navigating the Risk/Return Trade-off in SAFI Portfolios
UK Election Outlook
Implementation: Going from Theory to Action
Fiscal (In)Stability
Finishing Strong and Preparing for the Year Ahead
China’s 2020 National People’s Congress: The Big Policy Pivot
10-Year Yield Climbs Against Fed Policy
Guide to Using the Sector Momentum Map
Emerging Market Debt: Market Commentary Q3 2024
Trading Best Practices for Volatile Markets
Active Quantitative Equity Quarterly
A Fundamental Approach to Climate Risk Assessment
DeepSeek’s Shifting Dynamics
Patents: Intangible Assets as a Signal for Innovation and Future Prospects
US Housing Sector Soft Patch Broadens
Real Assets Review
BoJ Rate Now at 17-Year High
Geopolitical Outlook 2025
Investment Research Offsite 2024 Recap
USD Holds Steady in Tight Range
Market Forecasts: Q1 2025
Odds of RBA Rate Hike Increase
US Disinflation Has Further to Run
Fixed Income Outlook 2025
Softening US Data Warrants Cautious Fed Approach
Emerging Market Debt Enhancing a Global Bond Portfolio
Performance Flows
Growing Tariff Anxiety Overshadows Payrolls Data
Stage Being Set for Bank of Japan Rate Hike
2024 US Election – Big or Small Macro Policy Shift Coming?
Bonds are Back Where to Look, What to Do in 2024
Liquidity in SAFI Portfolios
A Capital Efficient Approach for Managing DB Plan Assets
The Global Trend of Positive Stock/Bond Correlation
Is Sentiment Turning?
US Elections: Global Spillover Effects
Monthly Cash Review December 2024
An Unusual Mortgage Refinancing Cycle Ahead
Beyond Banks: Financial Stocks and Trump
Equity Outlook: At the Turn of the Tide
Factoring in Cash Flow: the Rise of Quality Aristocrats
US Election 2024: The Final Countdown
2023 Global Retirement Reality Report: US Snapshot
The Performance of US Equities in Election Years Over the Last Century
Quantum Computing: Evolution or Revolution?
Managing Private Market Asset Allocations
Systematic Equity- Active: Quarterly
Breaking Down 2024 Market Performance
Insurance, Climate-Related Risks and the Rising Cost of Living
Webcast Fed Liquidity Programs and ETFs
A Turn to Japan
ESG Insights
Monthly Cash Review – EUR
Odds of Fed December Cut Increase
UK Money Market Reform
Ripples From China
Yen: Opportunistic, but Limited Intervention
Cross-Team Collaboration Sparks Fresh Perspectives
The Weekly ETF Brief
Path to Lower Rates Won’t Be Uniform
The Case for Systematic Investing in Credit
Stewardship Activity Report: Q1 2024
What Does the Downward Interest Rate Trajectory Imply for Infrastructure Investors?
Real Talk on Real Rates: A Data-Driven Look at the New Rate Paradigm
Optimizing Your Emerging Markets Equity Portfolio
An Introduction to Systematic Active Fixed Income
The Importance of Global Trade
Building a Portfolio: A Closer Look at Our Process
The Impact of Crisis-Driven Dividend Cuts
Implementation Alpha: Adding Value in Indexed Fixed Income
Master the Mechanics of ETF Trading – Prüfung (test)
EU Climate Benchmarks, Part 3
A Letter From Our CIO: Indexed Fixed Income Update
The Case for Active Investing in Equities
2023 Global Retirement Reality Report: Ireland Snapshot
Controlling Risk in Systematic Active Fixed Income Portfolios
Time Again for Outcome Investing?
UK Autumn Budget Signals Fiscal Expansion
More Cash Sales, Longer Sale Cycle for US Existing Homes
Defined Benefit Dynamism: Navigating Towards Better Outcomes
2022 Global Retirement Reality Report: UK Snapshot
LDI Monthly Update: April 2024
Trump’s Triumph Delivers Equity Sector Winners and Losers
Global High Yield Update Q1 2024
German Election: “Alternative zur Stagnation?”
GCC Region in Bloom
Real Assets Insights: Q3 2024
Striking a More Defensive Posture
What Does the Return of Oil Volatility Mean for Commodities?
Canada Inflation Continues to Ease
Can Japanese Equities Recover to New Highs?
European Equities Continue to Find Favor
What to Know About the Dutch Pension Reform
Market Regime Indicator: Q2 2024
Unlocking Opportunities in the Forgotten 493
Q3 Credit Research Outlook
High Yield Still in Focus
Yen Set for Gains in Volatile Markets
Canada Snapshot
Climate Scenarios: Unpacking the 1.5°C Pathways
Australian Retirement Survey During a Time of Change
Q4 2024 Cash Outlook
Dollar Surge Continues
State of the Market
Global High Yield Year in Review
The Case for US Innovation and Growth
Inflation Relief Boosts Rate Cut Expectations
The Outlook for Emerging Market Debt Improves
Tipping Point: Is The RBA On Track For A Rate Hike?
Non-defense Aircraft Weigh on US Durable Goods Orders
China’s Latest Stimulus: Boosting Price, not Earnings
Global Retirement Reality Report
GCC Fixed Income: An Alternative Diversifier to Core Allocations
Is Trump a Green Light for Convertibles and US High Yield?
Featured Insights
USD Strength Hinges on Policy Stance
The Modernization of Bond Market Trading and its Implications
Stewardship Activity Report: Q4 2023
Skilling Up During Disruption
Blending Active and Index Building Blocks for Better Fixed Income Outcomes
Three Climate-Transition Stock Stories
Distribution Trades: What Are They and How Can They Benefit ETF Investors?
Back to the Futures: How Derivative Pricing Can Impact Index Funds
Constructing and Implementing a SAFI Portfolio
2023 Global Retirement Reality Report: UK Snapshot
US Election Wrap-up: The Comeback President and What Happens Next
India Elections: Mind the Policy Gap
Long-Term Asset Class Forecasts: Q4 2024
Bond Sell-Off: Implications for the US and UK Markets
Emerging Market Debt
India Surpasses China in MSCI Index
Rethinking the Role of Bonds in Multi-Asset Portfolios
Implementing Your De-Risking Strategy: Plan-by-Plan Considerations
April CPI Data Brings Relief
Elections
Fixed Income Roadmap 2024
Q1 2025 Bond Compass
Bond Yields Rise as US Election Draws Near
Economic Growth Exceeds Expectations
G10 Currencies to Remain Range Bound
Broadening Out From Tech
Playback of Client Call: Liquidity Update with Global Trading
COVID-19 Highlights the Importance of ESG
PriceStats®: Inflation Indicators
Plenty of Drama, But Same Story
Shifting Sands: The GCC’s Equity Market Transformation
The Markets
Making Private Credit Allocations vs Leveraged Loans and High Yield
Systematic Investing in Credit Is Now Feasible
Liquid Real Assets in DC Pension Plans
Q1 2025 Cash Outlook
Central Bank Check-In: What’s Next Around the Globe
Emerging Market Debt Market Commentary: April 2024
Emerging Market Debt Commentary: August 2024
Overview: Systematic Active Fixed Income Signals
Is the US Facing a Grand Era of De-Regulation?
2025 Credit Research Outlook
Software: Still Eating the World Just Taking a Pause to Digest
Systematic High Quality Corporate Fixed Income: August 2024
Could We See Further USD Gains?
A Customized Climate Bond Strategy
Convex — and Ahead of the Curve: SPDR Global Convertible Bond ETF Turns 10
Fixed Income Midyear Outlook: Phase Transition
Can the Bank of Japan Continue to Swim Against The tide?
Fixed Income Stewardship Program Updates
The Consequences of the Global Liquidity Crisis for Emerging Markets Investors
Sector Equity Compass : Global Equities Beyond the Inauguration
Gaps and Overlaps in SMID-Cap Exposure
A Balanced Approach in US Equities is Starting to Pay Dividends
Credit Style Factors Can Provide Crucial Insights During Late-Cycle Market Resilience
Investor Behaviour
Key Takeaways from the Fed Meeting
Expect Bank of England to Cut in August
Building a Better Benchmark for Leveraged Loan Indexing
Our Approach to Leveraged Loan Indexing: A Q&A
US Equities Keep Rolling: Could It Really Be This Easy?
Emerging Market Debt Commentary: January 2024
European Equities Overweighted
Third Quarter 2019 Forecast
Global Forecasts Are Little Changed
US Elections Finish Line in Sight: Revisiting Our Outlook
Inflation Report Surprises Fade Rate Cut Prospects
Surging Tailwinds Support US Small-cap and Mid-cap Stocks
Expectation Improves for Equities
Weekly Economic Perspectives, 26 April 2024
MPFL Section 172 Statement
SPDR® ETFs Throughout the COVID-19 Crisis
Investment Trends Among Sovereign Wealth Funds
2022 Global Retirement Reality Report: US Snapshot
Steady Global Growth Masks Considerable Risks
2020 Vision: Focus on Finding Opportunities
Elections and Equities: The Impact of the US Election on Sector Investing
Introduction to Barclays QPS
Equity Market Outlook 2025
US Growth and Elections Drive Currency Markets
How Bank Loan ETFs Can Complement Private Market Allocations
Emerging Market Debt Market Commentary: May 2024
Indexed Fixed Income at State Street Global Advisors: Snapshot 2024
Emerging Market Debt Commentary: October 2024
Mortgage Optimism Boosts Sentiment
September CPI Stronger Than Expected
Achieving New Frontiers The Role of Bonds in Sustainable Investing
Making Connections
Bank Deposits Versus Money Market Funds
Charitable Asset Management
Asset Stewardship Report
An Enhanced Approach to Broad Emerging Markets Equity Exposure
Risk Sentiments Still Favor Equities
Decoding the Market Reaction to Trump’s Win
‘Value-Up’ Governance Arrives in China
Emerging Market Debt Outlook: Opportunities Amid Uncertainty
US Jobs Data Not Bad Enough
Sentiment Turns Positive for Emerging Markets
SSGA Canadian Long-Term Asset Class Forecasts
Trump 2.0: Implications for Taiwan, South Korea, and China’s Tech Sectors
Fed Cuts Delayed by Robust Labor Market Data
Investing in the Future Approaches to Climate Change in Portfolios