Drawing on the combined insights of BNP Paribas AM and AXA IM, the outlook highlights how a sturdier global economy is setting the stage for selective opportunity in 2026.
Growth proves more durable than expected, with Europe re-accelerating, the US navigating policy-driven crosscurrents, and China leaning on targeted investment rather than consumption.
Central bank easing supports bonds, though tighter fiscal conditions and geopolitical shifts call for flexibility across sovereigns, credit, and private markets.
Equity leadership remains anchored in technology, while Europe’s strategic autonomy push and EM tech dynamics broaden long-term opportunity sets.
If you want to explore how these macro, market and thematic forces translate into concrete allocation ideas, the full outlook offers a comprehensive roadmap.