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The Investor's Guide to China podcast: Trade and growth
"Despite geopolitical friction capital flows to China look set not just to persist but to accelerate," says CIO for Asia Pacific, Paras Anand.
Macro view 2021: Debt, the elephant in the room
As policymakers and investors grapple with their new reality, the elephant in the room they’ll have to confront will be how to manage the heavy public debt.
Sustainable investing: Accelerating evolution
The assumption that shareholder returns should be maximised at any cost has been challenged.
May's Rich Pickings podcast: The case against inflation
Why inflation will be some way off - and how portfolios are being adjusted as the old rules are torn up.
The New Economic Order
We believe the Covid-19 crisis will trigger a step-change in policy, accelerate existing trends and transform investment frameworks.
Macro briefing: Fed extends its reach to support employment
The Fed is now using all creative tools at its disposal to mitigate the surge of layoffs in the US.
Spiking US unemployment could unleash a cascade of systemic risks
The unprecedented rise in US unemployment has the potential to set off a chain of events that could destabilize already fragile markets.
Macro briefing: Heavyweight policies launched but more may be required
Macro briefing: Heavyweight policies launched but more may be required
The Fed reaches for the entire arsenal
The Fed reaches for the entire arsenal
Coronavirus: will there be a global recession?
Market expectations of intervention remain high.
Coronavirus: the impact on our global economic outlook
Global growth shock in a world of limited policy tools.
Fed prolongs expansion for those left behind
Fed funds rate remains unchanged amid strong labour market.
Rates unchanged as Fed engineers soft landing
The Federal Reserve leaves rates unchanged as Chairman Jerome Powell says US economy is 'in a good place'
Investment Outlook Q4 2019: Bending, not breaking
The Investment Outlook is our flagship quarterly outlook publication that outlines our views on all the major asset classes and details the 'house view'.
Mounting risks in 2020, despite central banks’ best efforts
Mounting risks in 2020, despite central banks’ best efforts. Investors should be ready in case as the macroeconomic and political environments evolve.
Investment Outlook Q3 2019: A delicate balance
The Investment Outlook is our flagship quarterly outlook publication that outlines our views on all the major asset classes and details the 'house view'.
Populism will change corporate purpose for good
For the first time, there is enough momentum behind it to move permanently from shareholder value maximisation to a more comprehensive, sustainable approach.
Power to the people: the democratisation of the utility sector
Power to the people: the democratisation of the utility sector. How battery storage will revolutionise the electric utility industry.
What to expect from the US midterm elections: Macroeconomic and market implications
Fidelity's cross-asset scenario analysis on potential outcomes from the US midterm elections assesses the macroeconomic and market implications.
Uncharted waters: Creating an ESG investment checklist through water sustainability
Uncharted waters: Creating an ESG investment checklist through water sustainability
Pulling away: Inequality as an ESG risk
Wealth distribution, emerging threats to the status quo, and why inequality is turning into an important sustainability risk.
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