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2025 Mid-Year Outlook

Income strategies and emerging markets are back on investors' radar as changes in US policy threaten to put an end to the long-term dollar bull run. Our mid-year outlook discusses a weakened US economy, improved prospects for Europe, and strategies for diversification amidst the turbulence.  

Income strategies and emerging markets are back on investors' radar as changes in US policy threaten to put an end to the long-term dollar bull run. Our mid-year outlook discusses a weakened US economy, improved prospects for Europe, and strategies for diversification amidst the turbulence.  

Mid-Year Outlook foreword: Class perspectives
Mid-Year Outlook foreword: Class perspectives

A more volatile policy and market environment puts a premium on expertise

Mid-Year Outlook: A global rewiring
Mid-Year Outlook: A global rewiring

The world is likely to fragment through the rest of 2025 and beyond. Investors may want to adjust their portfolios to reflect the new order.

Asia Mid-Year Outlook: The diversification trade
Asia Mid-Year Outlook: The diversification trade

The ongoing divergence between economies presents a new reality for Asia. At the same time, it offers exciting diversification opportunities.

Analyst Survey: Winners and losers from new trade order
Analyst Survey: Winners and losers from new trade order

Tariffs - and their knock-on effects - create fresh cost pressures for companies around the world. But the effects will not be distributed evenly.

Investment strategies to manage uncertainty
Investment strategies to manage uncertainty

We lay out a preview of a new investor toolkit from Fidelity that offers solutions to deal with the challenges presented by an era of global fragmentation.

Why innovative ETFs are the answer to market volatility
Why innovative ETFs are the answer to market volatility

The growing popularity of ETFs has led to increased competition, which will benefit investors and propel a further expansion in the months ahead

Four portfolio problems for insurers and how to solve them
Four portfolio problems for insurers and how to solve them

Insurers can no longer rely on traditional assumptions about risk and return drivers. Adaptation will be critical to meeting their investment goals.

Rise to the challenge: Income in 2025
Rise to the challenge: Income in 2025

Do you want income from your capital? How much do you want and what are you prepared to sacrifice for it?

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