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Global Multi-Strategy Fund
Chart in Focus: Gold and oil, beyond the basket
Our experts explore how investors can rethink diversification, inflation hedging, and portfolio roles beyond a single commodities trade.
Asset Allocation Outlook
How to evolve your portfolio for the latest market conditions? Explore the latest monthly snapshot of Wellington Solutions' asset class views.
How AI, stagflation risks and private credit are reshaping credit opportunities
Fixed Income Portfolio Manager Mahmoud El-Shaer sees three key forces shaping credit markets: stagflation risks, AI and increased scrutiny of private credit. While these developments are tightening financial conditions and increasing uncertainty, they may also be starting to reopen a more attractive opportunity set after a period of historically tight valuations.
Monthly Market Review — March 2026
A monthly update on equity, fixed income, currency, and commodity markets.
Putting long-term investing into context
Equity Portfolio Managers Yolanda Courtines and Sam Cox and Investment Specialist Fred Owens-Powell revisit the concept of long-term investing in an increasingly sentiment-driven market through two case studies.
Approach AI with an open mind
Our experts profile how accelerating AI, infrastructure demand, software disruption, and labor impacts may reshape risks and opportunities across global markets.
Chart in Focus: how is equity market leadership changing?
Equity market leadership is changing in 2026 as sector rotation broadens beyond technology and communication services. This insights piece looks at how the Iran conflict, energy prices, market breadth and earnings resilience are shaping the global equity outlook. It also covers which sectors are leading, where risks are building and what to watch next in global stock markets.
One battle after another: Time to reset expectations?
How might the historic energy shock impact portfolio decisions in the coming months? We offer our take on the implications for equities, bonds, and commodities.
Iran ceasefire – risk deferred, not removed
The US and Iran have announced a two-week ceasefire. While this reduces immediate tail risk, Geopolitical Strategist Thomas Mucha cautions against mistaking it for a resolution. What should investors be watching now?
Europe and the Iran conflict: 4 critical considerations for investors
Macro Strategists Eoin O’Callaghan and Nicolas Wylenzek explore how the conflict in the Middle East may alter the outlook for Europe and outline potential implications for European fixed income and equities.
Taking stock of the energy shock: 9 macro and market insights
Macro Strategist Juhi Dhawan looks at the potential effects of the war in the Middle East on economic growth, inflation, policy, and corporate profits.
The economy needs more competition. AI can make that happen.
Brij Khurana believes that as AI evolves, it will challenge traditional business moats and revitalize competition across industries. This transformation could lead to increased productivity, higher real wages, and stronger economic growth.
Three ways to reset credit portfolios for a more volatile world
Our experts, Fixed Income Portfolio Managers Campe Goodman and Rob Burn, and Investment Director Raina Dunkelberger, explore how to reset credit portfolios for a more volatile world.
Chart in Focus: Diversifying for different macro regimes
Against the backdrop of heightened geopolitical uncertainty, our experts Alex King and Joshua Riefler explore how to optimise diversification across different macro regimes.
Rapid Fire Questions with Campe Goodman - 1st Year of Trump 2.0
In this edition of “Rapid Fire Questions,” fixed income portfolio manager Campe Goodman shares his assessment on the first year of Trump 2.0, and perspectives on why he remains constructive on fixed income, and where he is finding attractive opportunities.
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Quarterly Market Review — 1Q2026
A monthly update on equity, fixed income, currency, and commodity markets.
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