From macroeconomic outlook and implications, to asset allocation and investment strategy analysis for major asset classes, our service delivers insights to your mailbox, enabling you to maximise portfolio return.
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Tactical and strategic asset allocation
Monthly-updated asset allocation views looking ahead 12 and 36 months ahead, respectively.
Detailed macroeconomic baseline forecasts cover over 200 economies and are updated each month
High quality macroeconomic research
Regular reports cover key macroeconomic trends and the implications for asset prices.
Direct access to economists and strategists
Direct contact with our strategists to get timely answers to your most pressing questions.
How we can help you
In an increasingly uncertain world, we help you move with confidence.
Optimise your portfolio
Focusing on deep quantitative analysis, using metrics such as fundamental valuation models and long-horizon expected returns, we provide actionable investment recommendations on equities, bonds, credit and FX to support asset managers worldwide in structuring their portfolio.
Move with confidence
Backed by the data and analytical capabilities of our Global Economic Model and our strategists’ decades of experience, Oxford Economics will be an anchor in an uncertain world, providing you with the consistent, reliable and non-biased guidance you need.
Make better decisions, faster
Good decision-making doesn’t have to be time-consuming, with insights delivered by email or at your fingertips 24/7.
Global Asset Manager Service
From macroeconomic trends and uncertainties with their market implications, to ideas on how to harness the opportunities of an increasingly insecure world, Global Asset Manager delivers key insights to your inbox, while providing easy access to a wealth of information on our research portal.
“The scope of data availability and ease of access, coupled with an expert team on hand to reference, means Oxford Economics is one of our trusted economic experts.”
Resources and events
Key themes for cities in 2022
Global real estate to outperform bonds and equities
Ukraine’s sovereign Eurobonds are a bargain despite risks
Sovereign debt: safe as it ever was
Bond yields to peak this year
Global real estate returns are looking healthy in 2022
High conviction global strategy calls for 2022
Key Themes for Cities in 2022
Rising risk of a higher inflation regime for global economy
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