Balanced scales: Left scale - Oversized USD/US equities. Right scale - Basket with gold bar, commodity, world currencies, EM skyline, bond coupon.
By Gustavo Medeiros, Ben Underhill
The Emerging View

Diversified asset allocation and US fiscal dominance

Volatile post-pandemic macro and US fiscal dominance risks, amid a historic H1-2025 Dollar selloff, are exposing the limits of passive, US-heavy indices. Investors should diversify toward markets less constrained by debt-shadowed central banks.

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Weekly investor research

Chinese economic data weakens, but stocks rally

US CPI shows muted tariff pass-through; goods inflation up to 1.3% YoY. China data missed but stocks rallied. Trump met Putin. IEA sees 2026 oil glut. S&P lifts India to BBB; Moody’s upgrades Pakistan. Brazil CPI 5.2% YoY; easing in sight.

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Russia threatens to cut gas supplies to Europe

Russia announced it halted gas supplies to Poland and Bulgaria and said it repaid the Eurobonds before the end of the grace period. Brazilian consumer price inflation rose less than expected. The Chinese politburo sent a strong message of support for...
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Emerging market assets underperformed over the first four months of the year as market participants priced in a much more hawkish hiking cycle by the Fed. At the same time, higher interest rates differentials buoyed the greenback lead the US Dollar...
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Better than expected Chinese data, but peace talks stalled in Ukraine

Chinese economic activity was better than expected, but underlying sector data suggests weaker dynamics than meets the eye. Sri Lanka announced the suspension of debt service. Indian inflation surprised to the upside. Indonesian trade surplus rose...
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Russia & Belarus index exclusion post-mortem

This piece reviews the background and impact of the exclusion of Russia and Belarus from the main Emerging Markets (EM) indices as well as the current market conditions and outlook for Russian and Ukrainian bonds.
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Global Manufacturing PMIs play into the stagflation narrative

Global Markit Manufacturing PMI indicators softened, as China underperformed due to targeted lockdowns in Shanghai, notably. The increase in ISM prices paid and the depressed level of supplier delivery times in the US Markit PMI provide further...
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The Emerging View

The case for EM in a multipolar world

The Russian invasion of Ukraine is a shock to the existing world order. From an economic perspective, the initial impact of the war is rising inflation given the importance of Russia and Ukraine in the supply of commodities to the world. The economic...