Asset Allocation Strategy – Capital Markets Begin Re-Aligning To Fundamentals – April 1, 2021


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Asset Allocation Strategy – Capital Markets Begin Re-Aligning To Fundamentals – April 1, 2021
 · Asset Allocation · 

The overbought global S/B ratio signals increasing risk of a near-term correction or consolidation phase, but underlying economic fundamentals remain quite positive.



 

Global Foreign Exchange – How Long Will U.S. Dollar Resilience Last? – March 30, 2021
 · Foreign Exchange · 

The short-term outlook for the U.S. dollar remains mildly positive on the back of stronger relative growth (boosted by massive fiscal spending) and still oversold conditions (except versus the euro).



 

Weekly Macro Strategy – Hitting A Fog Patch – March 26, 2021
 · Weekly Macro Strategy · 

This week’s PMI flashes confirmed that the global expansion is both broadening and strengthening.



 

Roundtable – EM Investing: Different Regions, Different Assets – (68min:21sec) – March 25, 2021
Webcasts, Webinars & Roundtables · 

We are generally constructive about the prospects for emerging market outperformance in the year ahead. Equities should outperform their DM counterparts



 

Regional Equities – The Window For Regional Rotation Opens Wider – March 25, 2021
 · Equities · 

The massive U.S. fiscal stimulus will provide a major boost to the global economy and corporate earnings in markets and sectors highly geared to global trade.



 

Theme – MRB’s Overview Of Key Investment Themes (Part III) – March 24, 2021
 · Themes · 

This is Part III of an update of the big-picture themes that form the foundation for MRB’s longer-term investment strategy.



 

Emerging Markets Foreign Exchange – Don’t Fear The Treasury Bear Market – March 23, 2021
 · Emerging Markets · Foreign Exchange · 

In the midst of a burst of synchronized global growth, financed by Uncle Sam’s mega-stimulus, EM currencies stand to ride higher on a tide of investor risk appetite.



 

Weekly Macro Strategy – The Fed Is Losing Its Grip On The Treasury Market – March 19, 2021
 · Weekly Macro Strategy · 

Global monetary and fiscal stimulus is so massive that, when combined with vaccinations, it will be hard for economic growth to disappoint.



 

Webcast – The Rebirth Of The Bond Vigilante – (10min:49sec) – March 17, 2021
Webcasts, Webinars & Roundtables · 

In this week’s Webcast, Phillip Colmar discusses the recent sharp selloff in government bonds and the ramifications for investment strategy.



 

Global Fixed Income – Challenging The “Lower For Longer” Bond Narrative – March 16, 2021
 · Fixed Income · 

Hyper-accommodative monetary and fiscal policies combined with a significant upgrade in economic expectations have caused a rapid rise in U.S. Treasury yields



 

Weekly Macro Strategy – Self-Limiting – March 12, 2021
 · Weekly Macro Strategy · 

We remain mildly pro-growth on a 6-12 month basis, but cautious on risk assets in the short-term, given the backdrop of overbought/overheated technical conditions and rising bond yields.



 

Webcast – From Reflation To Growth – (11min:05sec) – March 10, 2021
Webcasts, Webinars & Roundtables · 

In this week’s webcast, Peter Perkins discuss the 6-12 month outlook for capital markets and MRB’s recommended multi-asset positioning strategy.



 

Asset Allocation Strategy – Into A More Challenging Phase For Risk Assets – March 5, 2021
 · Asset Allocation · 

 Add to Favorite Reports Having been bearish on government bonds, their current selloff does not alter our… Continue



 

Absolute Return Strategy – Is Good News Now Bad? – March 4, 2021
Absolute Return ·  · 

One of the leading threats we identified for financial markets in 2021 is now occurring, namely that bond yields rise too fast.



 

China – Yuan Bonds Outperform As Policy “Normalizes” – March 3, 2021
 · Emerging Markets · 

The Chinese economy doesn’t need stimulus, and, in fact, fiscal retrenchment will gather pace this year.



 

Weekly Macro Strategy – Some Bumps – February 26, 2021
 · Weekly Macro Strategy · 

The bond market outlook is bearish, with few places left to hide to avoid total return losses in the coming year.



 

Roundtable – Key Issues For Asset Allocation In 2021 – February 25, 2021
Webcasts, Webinars & Roundtables · 

The conventional playbook of an economic recovery and hyper-accommodative monetary/fiscal policy continues to underpin the bullish narrative on risk assets.



 

Theme – MRB’s Overview Of Key Macro Themes (Part II) – February 18, 2021
 · Themes · 

This is Part II of an update of the big-picture themes that form the foundation for MRB’s longer-term investment strategy.



 

Webcast – Asian Outperformance Worsens EM’s Concentration Problem – (10min:08sec) – February 17, 2021
Webcasts, Webinars & Roundtables · 

In this week’s Webcast, MRB Strategist Mehran Nakhjavani discusses the appropriate positioning for emerging markets within a global equity portfolio



 

Weekly Macro Strategy – It’s Different This Time – February 12, 2021
 · Weekly Macro Strategy · 

A synchronized global economic recovery will gradually develop this year and coincide with a weaker U.S. dollar, and warrant a broader rotation away from the U.S. market within a global equity portfolio.



 

Emerging Market Equities – Asian Outperformance Will Drive EM To Irrelevance – February 11, 2021
 · Emerging Markets · Equities · 

“Be careful what you wish for” is the Aesop’s fable that applies to long-suffering EM equity investors, who have been waiting a decade for a sustained period of outperformance.



 

Emerging Market Equities – The Implications Of EM Stock Concentration – February 11, 2021
Emerging Markets · Equities · 

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Webcast – Running Hot- (11min:06sec) – February 10, 2021
Webcasts, Webinars & Roundtables · 

In this week’s Webcast, MRB strategist Peter Perkins discusses the capital markets outlook for the next 6-12 months and MRB’s recommended positioning within a global multi-asset portfolio.



 

Theme – MRB’s Overview Of Key Macro Themes (Part I) – February 9, 2021
 · Themes · 

This is Part I of an update of the big-picture themes that form the foundation for MRB’s longer-term investment strategy.



 

Asset Allocation Strategy – The Best Of All Possible Worlds Is Priced – February 5, 2021
 · Asset Allocation · 

The tension between a pro-growth macro and policy outlook and overheated risk assets continues to intensify.



 

MRB TradeBook Update – January 29, 2021
Absolute Return · 

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Global Equities – The Risks And Challenges Of Equity Market Concentration – January 28, 2021
 · Equities · 

The dominance of the U.S. equity market complicates regional and sectoral equity allocations and results in historically high concentration of portfolios benchmarked to the global index.



 

Weekly Macro Strategy – Waiting For Corporate Earnings To Catch Up – January 22, 2021
 · Weekly Macro Strategy · 

A correction or consolidation phase for risk assets is probable, but the extremely supportive policy backdrop suggests it will more likely be a period of churning until near-run economic softness peters out.



 

Emerging Markets – Chinese Equities: Has The Rotation Play Begun? – January 22, 2021
Emerging Markets · 

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Emerging Markets Fixed Income – EMLCD Will Outperform, Despite Near-Run Risks – January 14, 2021
 · Emerging Markets · 

This report focuses primarily on the two issues: the outlook for the EM local currency-denominated debt (EMLCD) asset class, and how investors should approach investment in Chinese government bonds.