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There are 178 item(s) tagged with the keyword "Fidelity".

Displaying: 1 - 10 of 178

Fixed Income Monthly - August 2026

Policy uncertainty dominates the fixed income outlook.

Tags: Fidelity, fixed income
The Case for European Equities

European equities have delivered strong returns, but the next phase is likely to be driven less by rising valuations and more by company fundamentals. Here we outline why we believe the strongest opportunities lie in companies capable of sustaining earnings growth, generating cash, allocating capital effectively, and maintaining durable competitive advantages that remain underappreciated by the market.

Tags: Fidelity, Europe ex UK
Concentration is today's real risk, not AI in itself
AI may dominate headlines, but is it the biggest risk facing investors? Chris Forgan and Caroline Shaw explore why increasing market concentration, rather than AI itself, could be the greater challenge for portfolios today.
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Tags: Multi Asset, Fidelity, AI
Looking beyond market fashions in Asian small caps

The AI driven rally has reshaped Asian equity markets, widening valuation gaps across the region. Nitin Bajaj, Portfolio Manager of Fidelity Asian Values PLC, explains why he remains committed to a disciplined value approach and where he continues to find compelling long-term opportunities.

Tags: Fidelity, Investment Trusts, Equities, Asia Pacific ex Japan
Market Minutes: Market Breadth

In this monthly video series, our Multi Asset team break down what’s driving markets, how positioning is evolving, and what they’re watching next. This update looks at why we've increased exposure to US mid-cap companies and how a broader range of return drivers could help create more resilient portfolios. Is it time for portfolios to broaden too?

Tags: Multi Asset, Global, Fidelity
Why Asian bonds remain resilient amid volatility and geopolitical uncertainty

A structural evolution is reinforcing the appeal of Asian bonds as a resilient source of income and diversification.

Tags: Fidelity, Asia
PDF: Global Asset Allocation Insights - August 2026
Tags: Asset allocation, Fidelity
Why now for active fixed income ETFs

The repricing of fixed income markets, resilient corporate fundamentals and increasing differentiation across issuers are improving the case for selected areas of the market, particularly investment grade credit. Against a backdrop of ongoing macroeconomic uncertainty and heightened geopolitical tensions, Fidelity’s active Fixed Income ETF team examines why investors are increasingly turning to active, research-led credit selection through transparent, cost-efficient ETF solutions.

Tags: ETFs, fixed income, Fidelity
Japan macro watch: Mind the Reversals

Coordinated intervention and hawkish BOJ signals have stabilised the Japanese yen, but sustained strength depends on fiscal credibility and tighter monetary policy.

Tags: Fidelity, Japan
The defensive power of equity income

With geopolitical uncertainty elevated and global equity markets concentrated around technology and AI, equity income can play a valuable defensive role in investor portfolios today. Portfolio manager Tristan Purcell outlines the attributes we look for in companies in order to construct portfolios with the potential to provide resilience during turbulent times, while also capturing equity market upside.

Tags: Equity Income, Global, Fidelity

Displaying: 1 - 10 of 178