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Sovereign Wealth Background

Macro Research For Sovereign Wealth Funds

Integrated Global Macro Intelligence for Long-Horizon Investors

Align total portfolio strategy with global economic and geopolitical reality. For over 75 years, BCA has delivered independent, cross-asset macro research and geopolitical insights that help sovereign wealth leaders integrate economic, policy, and market dynamics into cohesive long-term investment frameworks.

Trusted by

2000+ Clients

Managing $34T in AUM, with an average client relationship of 12 years

Over

75 years

of independent macro leadership

With

20 Senior Strategists

and over 60 researchers across global markets

 

Unbiased Research

no trading, no asset management, no banking

Who we work with

BCA partners with sovereign wealth funds globally, supporting strategic decision-makers across investment, risk, and governance functions.

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Chief Investment Officers

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Chief Risk Officers

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Heads of Strategy & Asset Allocation

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Total Portfolio Management Teams

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Governance & Policy Advisory Groups

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Economists and Research Teams

“BCA Research is a must-have for any investor looking to gain an informational edge in today's complex markets. Between the insightful reports, webcasts, and direct access to the strategists, we receive a constant stream of cutting-edge investment insights.”

What You Get

BCA provides integrated macro intelligence designed for institutional-scale portfolio construction and national capital stewardship.

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Summary

Executive summaries and decision-ready macro conclusions

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Portfolio

Clear regime-based frameworks supporting long-term allocation

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Access

Independent analysis free from trading or banking conflicts

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Macro

AI-powered research summaries to accelerate internal dissemination

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Macro

Access to senior strategists for direct discussion and scenario analysis

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Portfolio Construction

Portfolio Construction

Build forward-looking portfolios

Evaluate public and private market opportunities, pressure-test assumptions, and defend long-term allocation decisions.
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CoreMacro

Macro conviction before consensus

BCA’s flagship macro and investment strategy platform. For turning regime insight into portfolio conviction.
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GeoMacro

Geopolitics translated into positioning

Price geopolitical risk, identify what markets may be mispricing, and position ahead of consensus with probability-weighted views.

Our Track Record

We have a proven track record of helping our clients make the right calls.
Nov 2025

Removal of Maduro

Our Geopolitical Strategy work anticipated Maduro’s ouster as early as August and, by November, pointed to removal without a large-scale U.S. troop deployment. That scenario crystallized on January 3, 2026, when US special forces captured Maduro in Caracas.
July 2025

Short Brent crude

Commodity & Energy Strategy argued that bearish demand fundamentals would continue to push down crude oil prices in H2 2025, with geopolitics playing less of a role.
Feb 2025

Overweight European banks

European Investment Strategy initiated an overweight in European banks on February 21, 2025, and doubled down on their cyclical appeal even after the sector had already rallied. The position returned 32%.

Resilient National Wealth Requires Integrated Macro Insight

Join the sovereign wealth funds that rely on BCA to strengthen portfolio strategy,
navigate geopolitical transformation, and safeguard national wealth.