Tariffs in effect. Inflation under debate. Divided central banks. Geopolitical strains. Equities at record highs. After a busy summer of economic, geopolitical and financial market maneuverings, what should investors expect in the remaining months of 2025?
Join our economists for these special briefings at 09:00 BST/16:00 SGT and 10:00 ET/15:00 BST on Thursday 4th September, designed to bring you up to speed on a packed few weeks and prepare you for the risks and opportunities ahead in global macro and markets. During these 20-minute briefings, our economists will answer your questions as they address key issues, including:
- How the global economy is holding up under the Trump tariff regime, and the fallout for inflation;
- The chances of further central bank policy easing – including from the Fed and the PBOC;
- Whether deteriorating public finances could again shatter bond market calm as 2026 approaches.
Note: We are hosting two sessions at 09:00 BST/16:00 SGT and 10:00 ET/15:00 BST. If you are unable to attend either of the sessions, registering will ensure you are sent a recording upon conclusion.