Insight
2025 Midyear Outlook: What Lies Ahead in the Next 100 Days?
While uncertainty dominates global markets, the path ahead could reveal opportunities in fixed income, equities, and active management for strategic investors.

Key takeaways
- Risks to watch: Elevated inflation, slowing U.S. growth, and global trade tensions driving market volatility remain ongoing concerns to monitor closely.
- Potential fixed income opportunities: Global bond market yields, attractive tax-advantaged income from U.S. municipal bonds, and duration diversification from multi-sector fixed income strategies could help diversify risk and drive total returns.
- Potential equity opportunities: International equities benefiting from a weak U.S. dollar and undervalued emerging markets present compelling growth catalysts. Valuation and growth opportunities for U.S. small- and mid-cap stocks have increased compared with large caps.
- Active management: Within fixed income, active management has tended to benefit risk-adjusted returns over time, and within equities, it can help drive stock selection alpha relative to benchmarks.