Our Global Investment Research division provides original, fundamental insights and analysis for clients in the equity, fixed income, currency and commodities markets.
Covering areas such as economics, portfolio strategy, derivatives and equity and credit securities in more than 25 stock markets and 50 economies and regions around the world, our research reports help investors better understand the issues and trends that affect companies, industries and markets.
We have dedicated teams covering a wide range of markets, economies and issues:
Equity Research has industry and sector teams that analyze stock markets worldwide to identify investment opportunities.
Macro Research analysts analyze a wide range of securities, markets and economies. Economic Research analysts provide macroeconomic, foreign exchange rate and interest rate forecasts. Strategy Research analysts provide market views, forecasts and recommendations covering areas such as asset allocation and investment strategies, and Commodities Research analysts forecast commodity prices.
Credit Research analysts assess corporate debt and cover specific industry sectors to identify and communicate investment opportunities.
The Global Markets Institute provides research and high-level advisory services to policymakers, regulators and investors.