Quarterly Edition: Global Economy to Slow Markedly in 2023
Using Dividend Aristocrats Amid Rising Interest Rates, Inflation
The Importance of Dispersion in Sector Rotation Strategies
Barbell Sector Strategies for a Stagflationary Environment
The Impact of Crisis-Driven Dividend Cuts
Asset Stewardship Report
Investors are Still Buying Energy
Weekly Economic Perspectives: Signs of Incoming Slowdown in US Manufacturing?
Trust the Process: 3 Surprises for 2023
Russia Impact: Update on Fixed Income Index Announcements
A New Landscape for Bonds
The Core Segments of the US Economy Are Slowing
Trading Best Practices for Volatile Markets
Record First Half Slump in Productivity Fuels Stagflation Fears
Gold 2023 Outlook: Recession and Rates to Remain in Focus
Quarterly Forecast Update: Global Slowdown Accelerates
Weekly Economic Perspectives: Canada's First Rate Hike Since 2018
Why COP27 Is on the World’s Environmental Radar
COP27 Key Takeaways
The Outlook for Real Assets
BoE Delivers Largest Rate Hike in 27 Years
Climate Investing: Preserve Your Equity Exposure, Lose the Carbon
Making It Plain: Our Asset Stewardship Approach
Spreading the Net with Global Aggregate
Navigating a Bumpy Landing
2020 Vision: Focus on Finding Opportunities
Keeping Pace with the Climate Transition
Global Manufacturing Activity Now Contracting
German Real GDP Back to Pre-Covid Level
Stick with Short Maturity to Combat Rising Rates
A Letter from Our CIO: Fixed Income Update
An Update on Dividend Aristocrats
Value Trade Still Working as Rates Rise
Going to Japan: Seeking Doves in a World of Hawks
Five Reasons for Optimism In EM Local Currency Debt
Weekly Economic Perspectives: Unprecedented Producer Price Shock for Germany
The Case for a Strategic Allocation to Real Assets
State Street Global Advisors Suspends the Purchase of Russian Securities
Addressing Deforestation Risk in Supply Chains
Featured Insights
US Mid Cap Equities: A sweet spot with domestic exposure, robust earnings and attractive valuation
Fed’s Projection More a Statement of Intent Than Forecast
Winter Approaches: Position for Uncertainty in Global Equities
Johnson Resigns: A Look at the Political, Policy and Market Implications
Stewardship Activity Report: Q4 2021
Distribution Trades: What Are They and How Can They Benefit ETF Investors?
Examining the Exclusions: SPDR STOXX Europe 600 SRI UCITS ETF
Gentle US Inflation Rollover Is Welcome but More Needed
Ride Out the Volatility with Convertible Bonds
Weekly Economic Perspectives: Global Manufacturing Activity Slowing
Central Banks Break the Rout but Sentiment Remains Fragile
Life Is Slowly Coming Back to Lending Markets
US Unemployment Rate Plateaus As Payroll Gains Slow
Japan: Dovish Policy, Weak Yen Meet Undemanding Valuation
Jackson Hole May Signal September Fed Pivot
Stewardship Activity Report Q2 2022
Rate Peak Likely to Signal Equities Recovery
Weekly Economic Perspectives: Extraordinary Surge in US Consumer Credit
The Federal Reserve Will Declare a Premature Victory Over Inflation
Asset Stewardship Report 2018
Is the UK Headed Toward a Doom Loop?
Global CIO Reaction to US Presidential Election
Using ETFs to Hedge Your USD Exposures
The Outlook for Real Assets: Perspectives for Defined Contribution Plans
The Case for High Yield
Russia-Ukraine War: Investment Implications for Asset Allocators
Emerging Markets Beyond China
What I Learned About the Fed’s Fight Against Inflation from Richard Fisher
Why Were Joining Climate Action 100
US Economy Enters Technical Recession
Weekly Economic Perspectives Quarterly Edition: Sub-Trend Global Growth as Monetary Tightening Bites
Webcast Fed Liquidity Programs and ETFs
Investing in Green and Climate Strategies
US Leading Economic Indicators in Rapid Descent Now
UK Equities: The Tailwinds Remain Intact
Market Volatility and Rate Hikes Made for a Lively Spring and Summer
The ECB Steps Up the Pace
Could the Fed Engineer a Soft Landing?
Continuing the Climb
A Financial Revolution in the Making: Mainstreaming Stablecoins
The Role of ETFs in a New Fixed Income Landscape
Comments on the March 16 Fed Meeting
PriceStats® Analysis: Nearing Peak Inflation?
Leading Indicators of US Inflation Suggest More Relief Ahead
EMEA ETF Flows Tell an Interesting Story
Role Reversal: Emerging Market Debt Proving Stable
Canada's Unemployment Rate Jumps Unexpectedly
Opportunities in a Bond Bear Market
Hawkish Central Banks to Pressure Rates Higher
Gathering Momentum: Investors Move into Emerging Market Debt
Fixed Income Insights
Sanctions, Volatility, and the Path of the Russia-Ukraine War
ETNs vs. ETFs: There’s a Big Difference
Fixed Income ETFs: Fact vs. Fiction
The Consequences of the Global Liquidity Crisis for Emerging Markets Investors
US Workers Enjoy Higher Wages but Are Working Fewer Hours
Espresso
US Existing Home Sales Dip Below Covid Lows
The Board's Oversight of Racial and Ethnic Diversity Equity and Inclusion
The Future State of Fixed Income
The Fed forays into ETFs
Despite US August Inflation Surprise, Disinflation Lies Ahead
Mini Budget, Maxi Vol: Stay Cautious in the Front End of the Curve
SPDR® ETFs Throughout the COVID-19 Crisis
Manufacturing PMIs Turn Sharply Lower
Moderation in US Average Hourly Earnings Inflation Continues
An Update on our Perspectives on the Russia/Ukraine Conflict
Balancing Risks for the Summer
Guide to Using the Sector Momentum Map
Emerging Market Debt: Hard Currency for Hard Markets
Our Journey to Net Zero
UK Economy Inches Closer to Recession
Weekly Economic Perspectives: New Single Family Homes Inventory Sharply Higher in the US
Patience Is a Virtue: Finding Opportunities in Fixed Income
Weekly Economic Perspectives: Rising Interest Rates to Hurt US Home Sales
Inflation, Rate Hikes and Volatility: Defend with Dividend Aristocrats
US Investment Grade Credit: Tipping Point?
Getting the Most Out of Fixed Income
Weekly Economic Perspectives: Surprising Eurozone PMI Outperformance Versus US
Tightening “Tsunami” Increases Recession Risk
When returning to equities consider US Large Cap and ESG together
Why It’s Time to Reconsider Your China Exposure
4 Ways to Play Defense
2023 GICS® Changes: The Impact and What You Need to Know
A Framework for Understanding the Investment Impact of the Russia/Ukraine Crisis
ESG Insights
The Opportunity in High Yield Bonds
Updated 2022 Global Market Outlook: The Risk of a Policy Mistake
Weekly Economic Perspectives: German CPI Inflation - Not the Records We Like to See
Gender Diversity on Boards in Gulf Cooperation Council Countries
The Role of Long-Term Shareholder Voice
An Introduction to ETFs for Central Banks
The Fed Commits to “Whatever It Takes”
Weekly Economic Perspectives: Rising Aussie Inflation Will Force the RBA Off the Sideline
Weekly Economic Perspectives: Australian Unemployment Rate at Twin Record Low
Picking Sectors to Address Market Risks and Opportunities
Market Implications of the Russia-Ukraine Crisis
Investment Outlook: A New Landscape for Bonds
Fixed Income Research
US Homebuilders’ Sales Expectations Collapse
Renewed Energy in 2020
Stewardship Activity Report Q3 2022
Stewardship Activity Report: Q1 2022
Board Gender Diversity: Global Insights
A Letter from Our CIO: Responding to Markets and Investor Concerns
Sector ETF Momentum Map
Tailwinds for the Industrials Sector
Do Markets Care About the US Midterms?
Winds of Change: Reasons to Look at Investment Grade Credit
The Opportunity in Emerging Markets Dividend Aristocrats
Asset Performance in Different Inflation and Interest Rate Regimes
Examining the Exclusions: SPDR S&P 500 ESG Leaders UCITS ETF
Weekly Economic Perspectives: Elevated UK Inflation Undermines Real Wage Growth
Bonds Are Poised for a Turn
Inflation Reduction Act: Impact on Energy Transition
Short-Maturity Strategies to Close Out the Year
Jackson Hole, Inflation and the Current Policy Cycle
Earnings Growth to Boost Equities Despite Market Volatility
Investor Sentiment: Pockets of Optimism With a Continued Preference for Relative Safety
Dramatic Decline in US Personal Savings Rate
Life After Peak Growth and Peak Policy Accommodation
US Equities: Flight to Quality amid Elevated Uncertainty
The BoC Delivers the Largest Rate Hike Since 1998
UK Election Outlook
US Housing Takes a Breather
Downside Protection: Why It Matters for All Markets
Our Stewardship Approach to the Russian Invasion of Ukraine
Weekly Economic Perspectives: RBA Policy Stance has Changed Considerably Over Time
The Most Urgent Investment Questions Emerging from the Russia/Ukraine Conflict
Evolving Roles for Fixed Income ETFs: Research Report
Global Market Portfolio: Value of Investable Assets Touches All-Time High
Uncommon Sense
Elevated US Inflation Persists, but Leading Signals Easing
Weekly Economic Perspectives: US Consumers' Perceptions of Household Net Worth Worsen
Switching to ESG ETFs: Associated Costs and Tracking Error
ESG Implications of the Russia-Ukraine War
Weekly Economic Perspectives: US Revolving Consumer Credit Growing Again
Emerging Market Equities – Is this a turning point?
Climate Stewardship
Shifting Back to Credit, Europe Sticks with ESG
Weekly Economic Perspectives: Hopeful Improvement in US Labor Force Participation
US Job Openings Plunge, but Still Very Elevated
Seeing an Entry Point for Global Developed Equities
A Call to Lead on Racial and Ethnic Diversity
Weekly Economic Perspectives: Slow Moderation in US Wage Inflation
Did Investors Miss the First Major Shift in the Investment Environment in 40 Years?
Run of Extreme US House Price Increases Is Over
A Resilient Year for European ETFs
Appreciating the True Value of Financial Advice
On the Brink of Overtightening
When Returning to Equities, Investors Chose ESG ETFs
Weekly Economic Perspectives: Aussie Wage Inflation Back to Pre-Covid Levels
Weekly Economic Perspectives Quarterly Edition: Global Growth Retreats in Face of New Shock
Intense Cyclical Headwinds but No Structural Crisis in US Housing
Keeping a Close Eye on the Dollar