


2025: Year of the active ETF
The active European ETF market has continued its impressive growth in 2024, and is likely to continue to grow rapidly over the coming year.
Private Assets 2025: Time to diversify
Investors would do well to counterbalance their public holdings by increasing exposure to private investments.
Multi Asset 2025: Late cycle with a twist
An air of uncertainty still surrounds expectations heading into 2025. In circumstances like these, our approach is to position portfolios to make them able to weather a range of different scenarios.
Fixed Income 2025: Rates make return journey
After navigating an interest rate hiking cycle, fixed income investors face a completely different challenge in 2025.
Equities 2025: New avenues
A decisive US election, political ructions in Europe, and the first signs of Chinese fiscal action spell more volatility for stock markets in 2025. And new roads to returns.
Our guide to investing in the energy transition
How do you position for something this big? We’ve gathered the best ideas from Fidelity’s investment teams.
Buildings that go green
Research suggests that pursuing the most sustainable renovation strategy for an office is not only better for the environment, but could offer the best returns on invested capital.
Nowhere like home for Asia’s new money
A recent survey by Fidelity International reveals Asia’s retail investors are ready to take on risk ahead of anticipated US interest rate cuts, favouring equities outside of the region.
European real estate market on cusp of a change
Signs are emerging that European real estate may have reached a bottom and is about to embark on a period of growth. But the next cycle is likely to be very different. Here’s why.
US elections: stick to the fundamentals
Predicting which way the stock market will swing after a White House campaign has been a fool’s game historically. Track the broader factors driving company fundamentals instead.