Commentary

Q1 2026 CIO Review and Outlook

Asia and emerging markets experienced extreme volatility in the first quarter of 2026 as markets surged in the first two months, supported by strong demand for artificial intelligence (AI) and an easing of the global monetary environment.

Commentary

A Perspective on the Middle East Crisis

The conflict in the Middle East has raised concerns about oil prices, global growth and market volatility. Chief Investment Officer Sean Taylor assesses the potential economic impacts of the crisis and its implications for growth and diversification in emerging markets and Asia.

Commentary

What’s Driving South Korea?

South Korea has been the top performer in 2025 in emerging markets equities through December 15, generating a 70.9% return in U.S. dollar terms. It has outperformed peers as well as developed markets, including the U.S.

Commentary

2025 CIO Review and Outlook

CIO Sean Taylor reviews a year of strong performance across key Emerging Markets and Asia and looks ahead to robust investment opportunities in 2026.

Commentary

Is China’s Equity Market Performance Sustainable?

Chinese equities have performed strongly this year amid a general re-rating driven by easing geopolitical tensions, continued government stimulus and the global AI-related buildout. Portfolio Managers Andrew Mattock, CFA, and Winnie Chwang explain the drivers of the rally and the opportunities and challenges ahead.

Commentary

Q3 2025 CIO Review and Outlook

CIO Sean Taylor assesses a strong quarter for emerging markets which was driven by returns in North Asia and Latin America, and AI-related themes.

Commentary

Why Go Active in Emerging Markets

From managing exposure to leveraging growth opportunities—core active portfolio managers can unlock the full potential of emerging markets.

Commentary

The Era of the ABA Trade?

The U.S. market has outperformed the rest of the world over the past decade but may fade, making international equities—a timely and overlooked opportunity.

Commentary

Unlocking Japan—Why Go Active

Japan represents a compelling investment case, where local insight and rigorous research can uncover under-owned assets with the potential to deliver strong returns.

Commentary

Outperformance in Extraordinary Times

How the Matthews Emerging Markets Equity Fund’s strategy helped it achieve outperformance during a historic period for global markets.

Commentary

A Solid Quarter Signals Promising Potential

It was a positive quarter for emerging markets equities.

Commentary

Our Thinking on the Markets

Right now we are in an incredibly complicated environment with regard to U.S. tariff policy gyrations and its whipsawing impact on global equity markets. One thing we can confidently assert is that however the trade negotiations play out, there will be higher tariffs and this will be negative for U.S. growth.

Commentary

Domestic Drivers in Tariff Headwinds

CIO Sean Taylor assesses a better-than-expected quarter for emerging markets and takes stock of the drivers that may support the asset class in what could be difficult months ahead for global markets.

Commentary

The Investment Portfolio Approach

Emerging markets offer the potential for long-term diversified investment returns but they can endure challenging periods of volatility and uncertainty. Head of Portfolio Strategy David Dali maps out the issues to consider when constructing and managing a portfolio for emerging markets.

Commentary

Don’t Worry About China Tariffs

It’s not U.S. tariffs we need to be fixated on to gauge China’s economic growth trajectory but the ability of its leadership to rebuild confidence among entrepreneurs and consumers.