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28 September 2026

Senior Economist, Multi-Asset Solutions team

Market Perspectives: What’s in store for Q4?

Four factors are likely to have an important bearing on financial markets in the fourth quarter of 2026: US politics, fiscal policy in the UK and France, developments involving Iran, and the corporate earnings outlook.
28 September 2026

Investment Grade Credit Research, Fixed Income

Data with destiny: Information services show structural resilience in the age of AI

Disruption fears look overdone – trusted data, regulation and embedded workflows should continue to support resilient information services credits.
22 September 2026

In Credit Weekly Snapshot – Encore une fois

The spread between French and German government debt has once again breached 100bps, reflecting a confluence of French fiscal and political pressures.