
2025 Investment Outlook
We expect growth to continue to slow in the near term, followed by a reacceleration through 2025, which should foster a favorable environment for risk assets globally. Our 2025 outlook shares the details.
Allow our global network of experts and external partners to provide the inspiration you need to stay ahead of markets and industry trends.
Sign up to our newsletterWe expect growth to continue to slow in the near term, followed by a reacceleration through 2025, which should foster a favorable environment for risk assets globally. Our 2025 outlook shares the details.
Retirement isn’t what it used to be. The shift from Defined Benefit (DB) to Defined Contribution (DC) schemes and new pension freedoms are reshaping how millions fund their retirement.
Get an in-depth Q2 report from our alternatives experts including their outlook, positioning, and insight on valuations, fundamentals, and trends.
Find out what objectives a systematic active approach might aim to achieve and how an equity ETF using this strategy fits in between pure passive and traditional active management.
April saw European ETF investors add US$18.2bn of net new assets. Read the latest to find out more.
Why has the Nasdaq-100 historically outperformed over the past 15 years? Read the latest on this innovative index.
Good news on many fronts helped buoy stock markets and lessen inflation risks even if consumers aren't feeling positive.
Gold continued its strong performance in 2025 with a further gain of 5.3% in April. Uncertainty around US-imposed tariffs and economic growth boosted demand for perceived “safe haven “ assets, while further USD weakness provided additional support for the yellow metal. Discover insights into the key macro events and what we think you should be keeping your eyes on in the near term.
Invesco Private Credit’s Kevin Petrovcik discusses how investors can access Collateralised Loan Obligation (CLO) notes in exchange traded funds, or ETFs, due to new regulatory developments in offerings through UCITS ETFs.
A China-US tariff de-escalation, the Federal Reserve stays in wait-and-see mode, and the Bank of England strikes a hawkish tone while cutting rates.
Welcome to Uncommon Truths, Paul Jackson and Andras Vig’s regular in-depth look at the big topics impacting markets.
In this video, fund manager Bethany Shard shares her thoughts on the challenges of the last quarter and her outlook for UK equities.
Collateralised loan obligation (CLO) equity can be a compelling diversifier and has the potential for attractive absolute and risk-adjusted returns.
In our monthly market roundup for April, Invesco experts give a rundown of a mixed month for global equity markets, as well as an update on fixed income markets.