Aerial view at night of The Grand Palace, Bangkok, Thailand
By Gustavo Medeiros, Ben Underhill
The Emerging View

A multi-year tailwind for EM assets

US exceptionalism, built on unsustainable fiscal policies, is under threat. Tariffs and budget dysfunction in Washington are driving high volatility in US equities, revealing the fragility behind past market strength.

Subscribe to our insights

Subscribe and get notified as soon as we publish our content

The latest insights from our categories

Beautiful ocean sunset, with golden sky, dark blue sea and silhouette of ship, oil tanker on the horizon.
Weekly investor research

Markets remain calm after US strikes on Iran’s nuclear sites

US bombed Iranian nuclear sites; low oil disruption risk priced. US data weakens; Fed sees 2 cuts in 2025. China to scrap most Africa tariffs. Thai coalition splits. Brazil hikes to 15%. Colombia ups 2025 borrowing. Ghana gets Fitch upgrade.
Dascht e Lut, Wüste, IranDasht-e Lut Iran, colored mountains Unesco world heritage site
Weekly investor research

Geopolitical risks spike again

Israel attacked Iran’s nuclear sites, lifting oil prices but not the dollar. US eyes easing China trade curbs for rare earths. EM debt saw $3.8bn inflows. Strong data from China, Korea. Loans for South Africa, Ecuador. Mexico signals 50bps cut.
Legs and shoes on asphalt with the word "vote"
Weekly investor research

EM benefiting as investors vote with their feet

EM assets rose as investors rebalanced away from the US on trade hopes and soft data. Oil climbed on macro optimism. India cut rates 50bps. Vietnam growth seen at 6%. Brazil eyes deficit fixes. Colombia hit by political violence. Poland risk lingers.

Latest Insights

Istanbul, the capital of Türkiye.
Weekly investor research

Türkiye’s political shenanigans are back

US tariff uncertainty persists but recent news was calmer. Early investor rotation from US after Germany’s policy shift. Türkiye intervened in TRY post-political shock. Argentina posts surplus, Brazil hikes 100bps. Colombia swaps finance minister.
City of Hamburg with river Elbe and Harbour, Germany
The Emerging View

Germany’s historic fiscal shift: The impact on emerging markets

Seismic US policy shifts have been advancing political and policy changes across the world in response. We offer an overview of the global macro context behind Germany’s historic fiscal reform, and the impact it can have on emerging markets (EM).
China restaurants and night markets illuminated in crowded Beijing streets
Weekly investor research

EM assets resilient as US stocks enter technical correction

US stocks in correction; Bessent unfazed. ECB: Uncertainty higher than Covid. US, Ukraine propose 30-day ceasefire; Russia talks soon. Anti-authoritarian protests in E. Europe. China plans stimulus. Mexico delays tariff retaliation to Apr 2.
AI concept - Tariff and geopolitics driving global macro
Weekly investor research

Tariff and geopolitics driving global macro

EM assets held up in February despite tariffs and geopolitics. Ukraine ceasefire odds rose as US-EU tensions drove change. India posted strong fiscal data; Malaysia advanced reforms, Indonesia faced doubts. Argentina tightened policy, Mexico reformed...
The Great Wall of China.
Weekly investor research

EM equity outperformance accelerates

EM stocks outperformed, led by China. Germany's coalition lacks a 2/3 majority. Qatar & Kuwait exit EMBI GD; LATAM gains. Zelenskyy open to stepping down. Korea & Taiwan exports signal downturn. Bolsonaro accused of coup. SA delays budget announcement.
Chinese stock market
Weekly investor research

Chinese tech extends post DeepSeek rally

Chinese tech stocks surge as Xi meets CEOs. Trump plans reciprocal tariffs. Russian oil exports plunge under sanctions. US-Russia talks on Ukraine imminent. Indonesia cuts spending. Brazil’s Lula faces rising disapproval. Romania’s Iohannis resigns.
Colourful spices
Market Commentary

Unlocking the potential of frontier market debt

Traditional EM indices, such as the JP Morgan EMBI Global Diversified (EMBI GD), provide great yield enhancement for global fixed income portfolios. However, the high average duration of this index exposes it to volatility from global risk factors.
Indian Rupee paper currency on virtual interface of stock market data.
Weekly investor research

India cautiously cut rates for first time in five years

Trump’s 25% tariffs on steel and aluminum apply globally. US eyes cost cuts; MAG 7 dips. Russia-Ukraine peace plan at Munich. RBI cuts rates. Philippine VP impeached. Fitch affirms Korea’s AA-. Argentina to end FX controls by 2026. Japan wages surge.
A security fence built around a 3d map of the USA with signs "Tariffs" and 10%, 30%, 80%, 100%.
Weekly investor research

Trump pulls the tariff trigger

Trump imposes new tariffs on Canada, Mexico, and China. Investors assess DeepSeek’s AI impact. India unveils 2025 budget. Political shifts in Argentina. Brazil commits to deficit cuts. Colombia plans tax reform. Panama affirms canal control.
Data center server racks.
The Emerging View

The inconvenient truth behind US exceptionalism

This month’s EV quantifies the magnitude of fiscal stimulus which turns out to be surprisingly close to the market capitalisation surge over the past eight years. US exceptionalism now has a disruption narrative with DeepSeek...
Popular AI virtual assistant apps on a smartphone
Weekly investor research

DeepSeek impacts AI industry and EM

EM gains as tariffs ease (except Colombia). DeepSeek impacts AI supply chains. Trump-Putin talk Ukraine. Strong Asian exports; Indonesia reforms. Argentina pushes markets. LATAM leftists under pressure. Türkiye cuts rates; Egypt plans Eurobonds...
Positioning driving price action.
Weekly investor research

Positioning driving price action ahead of Trump’s inauguration

EM assets rallied on US CPI data; Indonesia cut rates, South Korea held steady. Trump-Xi call signals diplomacy; Gaza ceasefire agreed. TSMC posts record profits. Argentina slows FX depreciation after surplus; Türkiye’s macro recovery stays on track.
Black wrecking ball hanging above wooden surface.
Weekly investor research

The US Treasury yield wrecking ball

Strong US jobs data lifted yields, pressuring equities. Oil topped $80, China hit a record trade surplus, and Moody’s upgraded Argentina’s foreign currency ceiling. Fitch boosted El Salvador’s credit rating. Key elections are set in Ecuador and Gabon.
Elevated view of Jakarta's Skyline.
Weekly investor research

2025: Lights, Camera, Action!

2025 begins after a pronounced move higher in US real yields and term premium. Trump denied Wall Street Journal report that his tariff plans would be narrower and focus on key industries, leading to USD volatility today. Nine new countries, including...