The volatile and uncertain macroeconomic backdrop of 2025 continues into 2026, dominated by the conflict in the Middle East. Markets show flat equities, falling bond yields, widening credit spreads, and rising commodities amid oil supply concerns, demanding close attention.
Join our webinar, where we will explore how major global events are reshaping the macro landscape, with a particular focus on Middle East tensions and the implications for investment decision-making.
In this session, you will:
- Hear insights from leading specialists on second-quarter macroeconomic and market developments.
- Explore robust practices for navigating geopolitical uncertainty.
- Identify practical investment ideas for the months ahead.
Related Insights
Related products for purchase
Related Events
Related Solutions
Curated
Related Case Studies