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No real joy in the UK Budget
Gold takes center stage
Capturing opportunity as the equity landscape evolves
From Turbulence to Soft Landing? Allocating to US Equities Beyond Mag-7
The US Dollar Free Lunch Is Over. What Now? NOK investors
Why It’s Time for China Equity to Go Solo
The transition of power at the Federal Reserve
What’s New in Multi-Asset Investing? A Q&A with Alexander Rudin, Ph.D.
The US Dollar Free Lunch Is Over. What Now? SEK Investors
PCE inflation steady but elevated
Building portfolio resilience through sustainable technology megatrends
Central banks hold, but tensions drive risk
Fed set for January hold
Asset Tokenization in Capital Markets
Small caps gain amid resilient US growth
Fundamentals favor the US
Consistency as a compass in developed market equities
Equities remain our top preference
Global equity leadership: is the World enough?
Can Convertibles Defy Markets and Keep Rallying?
Deconstructing equity returns: Insights for a new rate cycle
Emerging Market Debt Commentary: May 2026
Building resilience with private CRE
Emerging Market Debt Commentary: July 2025
Risk-on is back, higher volatility stocks rebound
US government shutdown update: Risks emerge
Fed holds steady amid rising labor concerns
Reducing underweight in US Agg
High yield case study: how an index allocation can complement an active manager lineup
Euro, yen gain as dollar weakens
Actively managed ETFs: A new chapter for global investors
US industry shows signs of revival
Mega-cap IPOs: Implications for institutional investors and index managers
US equities: Euphoria, fragility, and the search for clarity
US labor strength delays Fed rate cuts
Tokenized money market funds (MMFs): Revolutionizing liquidity management
How to invest in AI
US real GDP cools sharply in Q4 2025
Global High Yield – 2025 in Review and 2026 Outlook
Emerging Market Debt Commentary: February 2026
India IT adapts to the AI shift
The income squeeze: How market concentration is reshaping equity returns
Rebalancing toward US Agg
A stronger emerging markets rally will need a new era of reforms
Markets reprice, earnings endure
“Sanaenomics”: A Truss or a Meloni moment?
Fixed Income Outlook 2026
Investing in the intelligence economy: AI opportunities across global sectors
Digital assets: The next frontier for markets and investors
Quality continues to offer investors an opportunity in US equities
Diversification in focus: JP Morgan announces changes to EMD benchmarks
Time not timing: The case for long-term investing
AI meets accountability
Growth takes lead in FX markets
Iran war: Energy normalization drifts further away
Iran war: Risk on, energy off
Systematic High Quality Corporate Fixed Income: Q3 2025 Commentary
Nature and biodiversity data: types and uses for investors
An advanced perspective on securities lending
Our Annual Task Force on Climate-related Financial Disclosures (TCFD) Report is Here
Global High Yield Update—Q1 2026
Why have convertible bonds outperformed equities in 2025?
The Gulf shock: Energy supply, markets, and macro spillovers
Global equities: earnings rewarding patience
Market Forecasts: Q3 2025
The Rise of Sukuk from Shariah Roots to Global Opportunity
Monthly Cash Reviews
India in 2025: A tale of contrasting risk perception?
Global alternatives, local ambition: How SWFs, regulation, and integration are shaping GCC private markets
India government bonds get a glow-up
Aligning emerging market equity allocations with growth and dollar cycles
Markets hold steady amid global tensions
How EMEA-based insurers are approaching nature-related investing
February payroll shock flags AI job loss risk
Trimming risk, staying constructive
The changing makeup of the Global Market Portfolio
What’s on the horizon for digital assets?
The whole truth behind the Fed’s rate cuts
Labor market softness deepens
Middle East conflict: Is an end in sight by April?
Global High Yield Update—Q2 2025
Q3 2026 Credit Research Outlook
One index offers US exceptionalism, mid-cap potential, and sustainability
Are yields entering a new phase?
SAFI turns 2: Delivering consistent alpha, controlled risk
Hawkish Fed signals drive market caution
Emerging Market Debt Commentary: Q1 2026
Tariff Tantrum, What Tantrum? How ETFs Performed During Liberation Day Turmoil
US labor soft, but no acute stress
European Aristocrat Strategies
Markets shift to selectivity phase
What could revive 2026 Fed cut prospects?
July rate cut unlikely
Why bitcoin institutional demand is on the rise
Emerging market debt outlook: The return of ‘Goldilocks’
US inflation mixed, labor data worsens
The power of information ratio (IR) in active management
Three surprises for 2026: The curse of consensus in a market built on uncertainty
Equity duration matters, but earnings decide
Why invest in actively managed ETFs?
Supreme Court IEEPA tariff decision could raise market risk
Global Market Portfolio 2025
Forward with focus
We raise our global growth forecast
USD to stabilize; JPY unresponsive to BoJ
Japan: Weighing the equity landscape
US retail sales and confidence weaken
US government layoffs raise labor market risks
Systematic Active Fixed Income: A Modern Approach to Fixed Income Investing
European equity sectors’ positive vectors
Tactical shift favors USD
Capital Adequacy Disclosures
Big Beautiful Bill brings tax clarity
EMEA asset owners turn to nature-linked bonds for positive outcomes and returns
Fixed income ETF fact v fiction
Why investors should reconsider APAC weight
Three reasons to implement a sector strategy
US small-caps: primed for potential upside
How AI is reshaping emerging markets equities
How AI is transforming investment management: State Street’s strategic approach
War or peace: Energy, inflation, Europe
Emerging market debt: Why index choice matters
Featured Insights
Iran risks support JPY; USD softens
US consumers strong but uneven
Strategies for financial advisor succession planning
Considerations for non-US investors: US-domiciled ETFs vs. Irish-domiciled UCITS ETFs
Why elevated risk may favour the energy equity sector
Long-Term Asset Class Forecasts: Q3 2025
The yield curve's message for equity markets
Short shocks, longer echoes
2025 European Wealth Manager Survey
US labor data sends mixed signals
Get ahead of the Fed: Financials may get a boost from rate cuts
Oil retreat supports contained inflation outlook
Q2 2025 SAFI commentary
Markets still view Fed independence as intact—here’s why
Canada at a crossroads
Eurozone signals caution on June rate hike
Eurozone sovereigns: Selective immunity from the post-pandemic fiscal strain
GCC countries and India: A new era of economic collaboration
Return expectations from the Global Market Portfolio
The evolving GCC IPO market: Trends and investor implications
Geopolitical tensions remain elevated
Democratising core exposures for European investors
Monthly Cash Review – EUR
Indexed Fixed Income: Targeting Precise and Reliable Outcomes
MPFL Section 172 Statement
What does the divergence in US soft and hard data mean?
Rising yields reshape markets
Bitcoin volatility and liquidity: Key trends for investors
Cyclical sectors regain leadership: Financials and Industrials drive momentum
Uncommon Sense
How to value bitcoin: Valuation frameworks for investors
Greenland’s geopolitical storm: What may be next for allies, markets, and investors
Investment trends among sovereign wealth funds
Sustainability Data Governance and Oversight in Asset Management
Growth holds but inflation risks reshape outlook
How to invest in crypto without buying crypto
US labor market signals persistent softness
US labor data improve but risks remain ahead
Raising the wealth management bar for Gen X women
Waiting for the small-cap resurgence
2026 Credit Research Outlook
A Core Fixed Income Solution: Outperforming the Agg, But with Minimal TEV
Sustainability in LDI
Prefer longer-duration bonds
The rise of the Core-Satellite approach in fixed income portfolio construction
Grey Swans 2026
European defence: From tactical theme to strategic allocation
CAD, NOK poised to outperform
Emerging market debt: Enduring strength outlook holds
The evolution and future of fixed income
Hedging China bond exposures: strategic considerations
What the US government shutdown means for markets and the economy
Geopolitics at the center of financial markets
SSGAL Section 172 Statement
The US Dollar Free Lunch Is Over. What Now? EUR investors
US inflation supports September rate cut
The Top 5 Themes for the US Market in 2026
Considerations for a long-dated US Treasury exposure
Hawkish Words, Dovish Moves
Navigating rising market concentration with Enhanced strategies
Emerging Market Debt Commentary: Q4 2025
NOK shows promise, CAD faces pressure
The case for a broad commodities strategic allocation
Mixed data does not preclude rate cuts
How the Iran War could impact Australia’s infrastructure
The One Question Series: You Ask. We Answer.
The US Dollar Free Lunch Is Over. What Now? EUR Investors – Dutch Perspective
Integrating climate risks & opportunities into Systematic Active Fixed Income strategies
What to Know About the Dutch Pension Reform
Global High Yield Update: Q3 2025
Emerging market debt outlook: Enduring strength
Implementation alpha across the fixed income spectrum
Long-Term Asset Class Forecasts: Q1 2026
Emerging Market Debt Commentary: April 2026
Why we don’t trade headlines: Systematic investors rely on core risk controls
How gold hedges policy uncertainty when Fed leadership changes
Quality’s role amid equity market uncertainty
Six investment trends the summer has revealed
Fed on hold, but for how long?
A new era of monetary and fiscal policy or back to the future? What investors should know
Why Asia may be the biggest winner of the global AI boom
Equities back to overweight
Market Forecasts: Q1 2026
Europe services slowdown deepens growth concerns
UK politics: Continuity priced in, risks simmer
GENIUS Act explained: What it means for crypto and digital assets
Investing in digital assets: Educational resources for investors
Why investors should continue to climb the wall of worry
Why the global macro data crisis is everyone’s problem
Improving fixed income portfolio resilience with leveraged loans
Understanding markets in the new world order: A geopolitical framework for investors
What happens with a less transparent Fed?
Powell hints at rate cuts at Jackson Hole
Fed dissent signals policy shift ahead
Macroeconomic Outlook 2026
Sector Market Perspectives: Q3 2026
US inflation data supports Fed rate cut outlook
Emerging Market Debt Commentary: Q3 2025
Why were funds so short
An enhanced approach to broad Emerging Markets equity exposure
Navigate the market with State Street ETFs Chart Pack
The future of crypto: Why smart investors are backing the ecosystem
Understanding Money Market Funds
Real assets insights: Q1 2026
US consumer buffer continues to thin
A new agenda for sustainable investing research: A Q&A
Japan’s “Truss Shock": A market scare, but not a systemic crisis
Elections
USD rebounds to neutral
What is the Global Market Portfolio?
Systematic High Quality Corporate Fixed Income: Q1 2026 commentary
Sustainable Investing: 5 Key Questions Asset Owners Ask
Constructive outlook on commodities
The path ahead for GCC equities
History rhymes again
The Gulf's capital transformation
Q3 2025 Credit Research Outlook
Books Every Investor Should Read
US–China trade truce holds, but for how long?
The case for US 1-5 year investment grade credit
Iran war complicates global policy outlook
A smarter core: An Enhanced approach to optimizing equity portfolios
Thriving through turbulence: European small-caps surge
Long-Term Asset Class Forecasts: Q2 2025
Equities overweight edges higher
Tokenization of assets: How it’s reshaping finance and markets
The case for collateralised loan obligations for European investors
Emerging Market Debt Commentary: August 2025
Forward with focus: Implementation Guide
Climate Transition Euro Corporate Bond Beta Strategy
How fixed income can (still) provide an anchor to windward
Consistency as a compass in emerging market equities
Climate Transition U.S. Corporate Bond Beta Strategy
Monthly Cash Review – GBP
PriceStats Analysis
25 years of creating ETFs for European investors
Energy‑led risks under watch
Market trends
Private US multifamily real estate looks attractive
US mid caps: A comeback for the quiet outperformer?
Iran conflict overshadows mixed global data
Strategic Asset Allocation with Alternative Investments: An Integrated Approach
Q2 Investment Outlook
Decoding Market Regimes Machine Learning Insights into US Asset Performance Over The Last 30 Years
Long-Term Asset Class Forecasts: Q4 2025
How is the GCC positioned for the global AI race?
The case for active dividends
US labor market softens, Fed rate cut likely in December
Bank Deposits Versus Money Market Funds
The economics of AI-driven productivity
Fed shift hits USD
Equity Market Outlook 2026
Emerging Market Debt Market Commentary: Q2 2025
Emerging market debt: Why it belongs in your investment portfolio
Mapping the sustainable investing spectrum of capital
Q2 2026 Credit Research Outlook
US small-caps in focus
Should you be worried about Fed independence?
The US Dollar Free Lunch Is Over. What Now? GBP Investors
Emerging Market Debt Commentary: November 2025
Fed cuts rates again, December move uncertain
Market Forecasts: Q2 2026
The renewed case for currency hedging fixed income exposures
Six Grey Swans that could move markets in 2026
Navigating the concentration conundrum: A Core-Satellite approach to active equity investing
How to Position for Geopolitical Shocks During Trump 2.0
Democratizing Private Markets: Strategic Insights and the Path Forward
US exceptionalism: Fading force or enduring edge?
Emerging Markets Beyond China
India loses EM share as AI trade surges
What has happened to the great rotation?
Why are Public Pension Funds re-thinking allocations?
Why various market risk metrics tell different stories
Nature as an asset: the relevance of biodiversity for investors
Japan is back, and how!
Understanding Money Market Funds
How is AI reshaping emerging market equity opportunities?
Why every institutional investor should use a TAA implementation
US inflation surprises but signals unclear
US rate cut likely despite growing doubts
The investor’s guide to digital assets
Impact Investing vs. Sustainable Outcome Investing
Nature and biodiversity: investor objectives for risk and opportunity
No Letup in Capital Expenditures
Beyond AI: The broadening of equity market leadership
Are rate cuts off the table in Australia?
China’s market disconnect
Weak US jobs data likely seals September rate cut
Saudi Arabian bonds: the case beyond the conflict
US payrolls data feels like fake resilience
Market pricing of UK growth is too optimistic
Fixed income scenarios for the current market environment
Internal succession planning: 5 key steps
US tariffs: Sector risks and legal challenges ahead?
Investing in real assets with ETFs
Real assets: diversification through conflict
Fixed income’s year end de-risk supports CLO allocations
Emerging Market Debt Market Commentary: Q2 2026
What’s driving the surge in global interest rates?
Monthly Cash Review: July 2026 (USD)
The Markets
Alternatives Outlook 2026
2025 markets rally through turbulence
Emerging Market Debt Commentary: October 2025
Hawkish Fed supports USD
Market Forecasts: Q4 2025
Sector ETF Momentum Map
State Street Sector Momentum Map
US inflation may be nearing its peak
Markets tend to shake off geopolitical shocks
Crisis conditions favor USD
Emerging Market Debt Commentary: January 2026
Inflation shocks test global economic resilience
The case for emerging markets small-cap equity
U.S. Industrials revival: Opportunities in asset‑heavy cyclicals
More gleam for gold in the Global Market Portfolio
Closing time: How passive investing is reshaping equity market microstructure
Global Shariah equities: Quality investment for the future
Identifying Sustainable Outcome Investments
Why the AI CapEx cycle may have more staying power than you think
US labor data raises fresh questions again
Hungary’s election: Risks, premia, and market pricing
Emerging market equities and fixed income — strong fundamentals, volatile world
Private credit dispersion: Rising stress, not systemic disruption
Emerging Market Equities Outlook Q1 2026
Optimizing your emerging markets equity portfolio
The US Dollar Free Lunch Is Over. What Now? CHF Investors
US macro data stronger than expected
Q4 2025 Credit Research Outlook
Core-Satellite Fixed Income: Evolving from concept to practice
Fed rate cuts spark US housing revival
Dissecting equity momentum
The new era of income investing
Returns triple boost powers local emerging market debt outperformance
The future of fixed income: From income to engineered outcomes
Long-Term Asset Class Forecasts: Q2 2026
Brace for a volatile summer
Venezuela after Maduro: Oil, global power, and the ripple effects for markets
Safe havens reimagined: Saudi bonds surge as Treasurys falter
Global markets tilt toward AI
Equities favored as outlook brightens
Support levels in sovereign debt markets
The US Dollar Free Lunch Is Over. What Now? USD investors
State Street ETFs: US Treasury and European Equity Expense Ratio Reductions
The case for Saudi Enhanced Equity exposure
Trim equities, add duration
Leveraged Loans at State Street Investment Management
Unlocking opportunity in the leveraged loan market
Global growth under pressure from energy risks
What if investors get bored of AI?