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Featured insights
Featured insights articles page
A new perspective on the importance of different investment decisions
PH&N Institutional InsightsA seminal paper published in the 1980s alleged that long-term asset allocation decisions drive 90 percent of a portfolio’s performance. Does the hypothesis still hold?
Jul 7, 2025
3 minutes to read
Currency outlook - Summer 2025
Global Investment OutlookDan Mitchell, Senior Portfolio Manager, RBC Global Asset Management Inc., discusses how the recent shift in sentiment and economic factors will impact the U.S. dollar and global currency markets.
Jun 26, 2025
5 minutes, 56 seconds to watch
Economic outlook - Summer 2025
Global Investment OutlookIn this video, Eric Lascelles, Chief Economist, RBC Global Asset Management Inc., provides his outlook on the impact of tariffs and policy uncertainty, the growing tensions between the U.S. and China, and much more.
Jun 26, 2025
13 minutes, 2 seconds to watch
Fixed income outlook - Summer 2025
Global Investment OutlookDagmara Fijalkowski, Head of Global Fixed Income and Currencies, RBC Global Asset Management Inc., shares how the recent market trends, fiscal developments and bond market dynamics will impact investors.
Jun 26, 2025
3 minutes, 47 seconds to watch
Executive summary - Summer 2025
Global Investment OutlookUncertainty around U.S. tariffs remains, but the worst-case scenario has largely been ruled out as progress toward trade deals is being made.
Jun 24, 2025
6 minutes to read
Recent insights
One Minute Market Update - Summer 2025
Global Investment OutlookUncertainty around U.S. tariffs remains, but the worst-case scenario has largely been ruled out as progress toward trade deals is being made. In our base case scenario, economic growth should slow, but not stop, and any rise in inflation should prove temporary.
Tensions, trends and tariffs
#MacroMemoThis week’s #MacroMemo video dives into the economic implications of Middle East tensions, economic trends, tariff news and more
MacroMemo - June 17 – July 7, 2025
#MacroMemoMiddle East flares up / Economic fears are fading but economic data genuinely weakening / A new front opens in trade war / Polarization in the U.S. appears to be rising / U.S. term premium continues to rise / Japan’s higher borrowing rate / Canadian inflation is rising Middle East flares up • Economic fears are fading . . . but economic data now weakening • Tariff developments continue • A new front opens in trade war • Polarization in the U.S. appears to be rising • U.S. term premium continues to rise • Japan’s higher borrowing costs • Canadian inflation is rising
From barriers to breakthroughs: Canada’s energy sector in focus
The Institutional BeatIn this episode, Institutional Portfolio Manager Julie Ducharme interviews Sarah Neilson, Co-Head of North American Equities at RBC Global Asset Management Inc. Together, they discuss historical barriers to Canada’s performance on the energy world stage, more recent developments, and themes and subsectors that warrant particular attention looking forward.
Emerging market debt: Diving deep into the world's largest pool of credit
InsightsDespite being the world’s largest pool of credit, emerging market debt (EMD) remains one of the most misunderstood markets amongst investors. This overview of EMD considers the practical aspects of investing in the asset class.
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