
Investor Insights
Get the full picture of what's happening now, what's ahead, and how our investing teams are responding.
Insights from the experts
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2025 Global Market Outlook
Explore our 2025 Global Market Outlook and learn why we believe the changes taking place in markets will deliver some of the richest opportunities since the aftermath of the global financial crisis.

Weekly Market Recap
Our Multi-Asset Solutions team produce a weekly market recap which aims to summarise the previous week’s major events and developments that may impact markets.

A view from global fixed income
Read the latest monthly insights from our Fixed Income CIO, Arif Husain
The Angle Podcast
The Angle podcast brings you sharp insights on the forces shaping financial markets. With dynamic perspectives from the T. Rowe Price global investing team and special guests, curious investors can gain an information edge on today’s evolving market themes. Better questions, better insights. The Angle - only from T. Rowe Price.

Analysts's Notebook
The Analyst’s Notebook platform is here to provide investors with unparalleled access to our analysts’ research process and share their powerful insights on key industries, emerging technologies, and capital markets.
Latest Insights
Five rules for investing in volatile times
What past crises can teach us about investing during market stress
The rise of public and private credit opportunities in the evolving multi-asset investing world
Explore diverse credit opportunities in evolving multi-asset investing.
The losers and (relative) winners of Trump's shapeshifting tariff war
The proposed levies will hit hard if imposed after the 90-day pause
What’s behind the U.S. Treasury market’s roller coaster ride?
Abrupt moves in the wake of the tariff announcement garner significant attention.
Will we escape the non‑U.S. stocks value trap?
European stimulus could be a game changer for undervalued non-U.S. stocks.
Stay invested: The cost of cashing out during a market sell-off
Market timing can lead to missed rallies and lower returns. Stay invested for long-term growth.
Smart diversification in an age of U.S. exceptionalism
U.S. exceptionalism has contributed to a strong U.S. bias in many investor portfolios, highlighting the need for a smart approach to diversification.
What tariffs could mean for your wealth
The “Liberation Day” announcements have unleashed a maelstrom.
Trump’s tariffs: More detail, less certainty
Economic pain eventually could lead to tariff relief, but a return to normal seems unlikely.
Tariffs: What investors need to know
Explore the potential effects of expanded tariffs on U.S. and global markets.
Market Update: Shock and Awe
Investors are reeling from the worse-than-expected level of tariffs announced on Wednesday, further exacerbating already high levels of uncertainty.
The power of a global multi-sector bond solution in today’s markets
The ability to invest in multiple sectors offers potential income and diversification opportunities.
Will President Trump’s reshoring policies fuel an industrial acceleration?
New policy measures could provide the catalyst to address long-term trends.

US High Yield Bond Strategy

Global Multi-Sector Bond Strategy
A contrarian scenario comes true on remarkable German fiscal push
Germany’s fiscal expansion reshapes global bond markets.
CryptoFOMO: Are digital assets becoming a risk‑off trade?
A neophyte’s guide to cryptocurrencies.
Uncertainty heightens the need for active fixed income management
Explore how active bond management can thrive in the new investing paradigm of higher inflation and volatilty.
In a world of flux, fundamentals (and active stock picking) matter
Durable, compound growth companies look best placed to navigate the near-term landscape.
How will a rising 10‑year Treasury yield impact other assets?
Floating rate loans appear well-positioned to benefit from rate rises
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