This report examines the latest development and future outlook of buy-side firms’ programmatic research infrastructure based on interviews with 66 investment professionals across the US, UK and Europe.
Fragmentation across ALM and ALCO reporting increases complexity and risk. This article examines why banks need a single source of truth to improve balance sheet transparency.
Entering 2026 near record highs, markets are prompting new investor questions, less about market bubbles or earnings, and more about how shifting geopolitics could reshape equity market structure and business cycles.
The frequency and severity of macroeconomic shocks are increasing, driven by geopolitical tensions, trade disruptions, interest-rate volatility and liquidity stress. Our latest report produced in partnership with Regulation Asia examines how banks and market...
Themes that supported strong commodity performance in 2025 may continue into 2026, with six emerging dynamics shaping supply-demand balances, pricing trends, and cross-asset correlations.
How do financial firms meet global compliance recordkeeping requirements across expanding data channels? We look at capture and archival essentials and solutions that help companies strengthen regulatory integrity under frameworks.