Earnings growth will sustain US equities, including mid- and small-cap stocks, says global multi-asset strategist.

Earnings growth will sustain US equities, including mid- and small-cap stocks, says global multi-asset strategist.
UBS Investment Bank has taken the contrarian approach of underweighting India and overweighting China.
Its focus is on companies with a long-term record of free cashflow generation.
The risk of higher tariffs could be mitigated by Trump’s other policy objectives.
Financial advisers and wealth managers in Asia are seeing private markets allocation rise in response to shifting market dynamics.
HSBC Asset Management believes Asian bonds and equities going into 2025 offer opportunities.
More sophisticated family offices demand more complex products.
The private credit specialist holds $148bn of client assets.
Morningstar’s Michael Born discusses whether there is any longevity in returns being generated by a few market leaders.
Panellists at the recent Fund Selector Asia Breakfast Briefing events in Hong Kong and Singapore favoured taking credit risk over duration risk.
Part of the Mark Allen Group.