Market Views - International

In Short: The potential perils of the pound's fall 
Oct. 10, 2016 :: John Sidawi
The pound sell-off, which quickened last week with new Brexit news, has implications beyond speculation.
What's next for international markets post Brexit? 
Aug. 4, 2016 :: Audrey H Kaplan
A look at the challenges and opportunities for investors now that the U.K. has left the EU.
Market Memo: Eurosceptics ruled the day 
Jun. 24, 2016 :: Audrey H Kaplan
Could Brexit lead to a minor recession in the U.K.?
In Short: Global developed bonds in wait-and-see mode 
Jun. 6, 2016 :: John Sidawi
Don't expect much change until after the upcoming Brexit vote and the FOMC meeting.
In Short: Brexit clouds mask an improving Europe story 
May 5, 2016 :: Audrey H Kaplan
All the focus on whether the UK will stay in the EU is diverting attention from the continent's improving economy.
Q&A: Is 'Brexit' likely? And then what? 
Apr. 5, 2016 :: Brian J Holland
If Brits in June vote to exit the EU, an outcome oddsmakers say could be 50-50, it could take years to complete. A lot can change before then. But the immediate impact could be substantial. Brian Holland shares his insights.
International Equity Outlook: Creating opportunity from uncertainty 
Jan. 22, 2016 :: Brian J Holland
As most investors nervously wait for major global issues to play out, we see attractive, long-term opportunities, particularly in Europe.
Market Memo: The headlines are worse than the reality in China 
Jan. 8, 2016 :: Audrey H Kaplan
China's clumsy attempts to shift from an export-led to consumer-led economy are sowing policy missteps and confusion. But at the end of the day, a desirable soft landing is still likely.

Elections and the markets

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