Region:
UK
Edition:
MPS Allocators
- 2025 Q4

Global markets remain shaped by policy uncertainty, shifting inflation dynamics and persistent geopolitical tension. Growth is proving resilient but uneven, with the US still leading while Europe slows and China's recovery struggles for momentum. Valuations are elevated and risk appetite remains sensitive to changes in monetary direction, trade policy and security developments. In this environment, balance and flexibility are essential. Exposure to quality assets, regional diversification and strategies that combine income with real-asset resilience can help navigate volatility. Against this backdrop, volatility is likely to persist as markets recalibrate expectations around earnings and liquidity. For long-term investors, the message is clear: diversification across regions and asset classes and disciplined risk management remain essential to weather shifting macro currents and capture opportunities in a world defined by transition.

Explore the different Outlooks

Ajith Balan Nair
Chris Ainscough
Chris Robinson
Dan Appleby
David Hood
Dr Bevan Blair
Edward Lloyd
Eren Osman
James Burns
Julian Menges
Liam Goodbrand
Matthew Hinman
Matthew Strachan
Phil Wellington
Raj Manon
Raymond Backreedy
Richard Bonnor-Moris
Robert Hale
Ross McKnight
Saftar Sarwar
Simon Doherty
Stacey Ash
Tertius Bonnin
Thomas Hibbert
Tom McGrath
Will Dickson
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