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A look at how the region presents a uniquely attractive income opportunity for active investors focusing on total return.
Amid global economic growth and positive policy reform tailwinds, we provide five reasons why we believe India should be in every investor’s portfolio.
A look at how fixed income strategies may help stabilize portfolios and enhance returns even in uncertain times.
Which emerging market companies are capable of paying dividends over the long term?
As investors, how can abrdn help companies adapt to, harness, and mitigate the risks of artificial intelligence?
A look at how the recent trend of earnings falling short of certain expectations has introduced a new element of complexity for income investors.
Where are the next investment opportunities in artificial intelligence? We examine the three themes that we believe will drive the future of AI.
How Asia is proving to be much more than just China, and current valuations offer a compelling entry point for investing in Asian equities.
Amid slowing growth and rising unemployment, reigniting worries that the economy could be headed for imminent recession, we explore five pressing questions.
On a recent podcast, we discussed – and brainstormed – how to translate macroeconomic themes into potential equity investment ideas.
A look at how China's economy performed better than extremely weak credit demand would suggest.
A look at how factors that helped support emerging market growth in Q2, including pick-up in manufacturing, are set to persist in the near term.
We unpack some of the reasons why China will remain a contender for years to come.
We expect interest rate cuts as cooling inflation gives central banks room to breathe. But what are the things that could go wrong with this forecast?
A look at how China's electrification is set to spark geopolitical tensions.
Deputy Chief Economist James McCann joins hosts Paul Diggle to discuss the nature of “Globalization 3.0”, and what it means for the economic outlook and financial markets.