With conflict in the Middle East and Europe, inflation, and higher interest rates, we’re preparing for more challenging economic times.

With conflict in the Middle East and Europe, inflation, and higher interest rates, we’re preparing for more challenging economic times.
Q3 Commentary from Portfolio Manager Clement Chiang sheds light on the signs of fragility as markets adjust to the higher-for-longer interest rate narrative.
Learn what recent inflation, interest rate and housing affordability trends mean for investors.
Has COVID impacted interest rates in the same way as previous pandemics? With deflationary and inflationary factors in play, the question is how to proceed?
Capital discipline is the new reality for oil and gas producers. Explore the central themes in play, their impacts and the opportunity for investors.
Impulse investing while hungry for yield often leads to poor decision-making. This is where sticking with a disciplined approach is wise.