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Access expert research, timely insights, and exclusive webcasts to help you make confident, data-driven decisions.

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Webcast Replay

Topics discussed:

  • Update on the situation in the Strait of Hormuz: shipping, attacks, and the state of talks
  • How is the global energy market absorbing the shock?
  • How will central banks respond to the trade-off between growth and inflation?
  • Should investors fade the USD rebound?
  • How is the energy crisis rippling across other commodity markets?
Commodity & Energy Strategy by Mathieu Savary & Roukaya Ibrahim & Robert Timper
24 Apr 2026
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Webcast Replay

Please join Chief EM/China Strategist, Arthur Budaghyan, for a Webcast on Thursday, April 23 at 2:00 PM EDT | 7:00 PM BST | 8:00 PM CEST.

Arthur will discuss:

  • EM equities: A profitless rally
  • EM structural profitability: Little improvement
  • China: Making sense of the economy and stock market
  • EM Local Bonds: Buy Back On Dips
  • EM sovereign credit: As good as it gets
  • EM equity and fixed income opportunities
Emerging Markets Strategy by Arthur Budaghyan
23 Apr 2026
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Webcast Replay

Roukaya discussed:

  • What is the status of the global and regional energy sector, including production and distribution?
  • How should investors assess the Iran war’s impact on the energy market?
  • How will the energy disruption ripple across other markets?
  • What are the long-term commodity market implications of the Iran war?
Commodity & Energy Strategy by Roukaya Ibrahim
21 Apr 2026
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Webcast Replay

Macro headlines may have shifted attention away from Private Markets, but the underlying risks remain. We revisit the Private Credit-Software cracks we flagged early and explain why, despite the noise, the structural story is just getting started.

  • How did we get here?
  • Is Software making or breaking Private Credit's diversification case?
  • Systemic risk or a normal credit cycle?
  • How are our 2024 calls on Distressed versus Buyouts playing out?
  • Where are the most overlooked opportunities across Private (and Public) Markets right now? 
Private Markets & Alternatives by Brian Payne
21 Apr 2026
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Webcast Replay

Marko Papic, Matt Gertken, and Roukaya Ibrahim look at the latest developments in the Strait of Hormuz and the implications for global financial markets.

Topics  discussed:

  • Will the US-Iran ceasefire hold? What should investors monitor to determine whether it is failing?
  • How long will it take for energy flows and shipping to improve significantly? What would cause a relapse?
  • Will the disconnect between financial markets and the real economic impact prove lasting or significant?
  • How should investors position for the future evolution of commodity markets and commodity-linked assets?
  • What other market dynamics will emerge and will Hormuz remain the central global focus?

 

 

GeoMacro Strategy by Marko Papic & Matt Gertken & Roukaya Ibrahim
17 Apr 2026
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Webcast Replay

Juan discussed:

  • What are the consequences of the current oil shock to the global economy?
  • How will policy makers respond to this shock?
  • What indicators should investors be looking for a resolution?
  • What indicators should investors look for to get more positive on equities?
  • What are the long term consequences of the war?

 

Global Asset Allocation by Juan Correa
16 Apr 2026
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Webcast Replay

BCA美国政治与地缘政治副主编马语书的中文网络直播:《地缘政治与美国政治二季度展望》。

  • 伊朗冲突接下来将如何演变?当前的暂时停火能持续多久?
  • 特朗普的约束与承受阈值在哪里?
  • 中期选举将如何影响美国的外交政策决策?
  • 中东的地缘政治紧张局势是否可能进一步扩散?对其他地区有何影响?
  • 持续的地缘政治风险和政策不确定性,对投资有何启示?

 

Geopolitical Strategy by Yushu Ma
15 Apr 2026
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Webcast Replay

In this webcast, BCA Research Chief Strategists, Mathieu Savary, Robert Timper, Jeremie Peloso and Artem Sakhbiev discussed the following:

  • Oil: Temporary buffers are masking a looming oil deficit that could trigger a global recession.
  • Inflation: The shock is stagflationary, but weaker labor markets limit second-round inflation risks.
  • Policy: Central banks are likely to look through inflation short term, then pivot to growth concerns.
  • FX: Terms-of-trade dynamics favor USD and commodity exporters over energy importers.
  • Markets: Bonds offer asymmetric upside; equities and FX remain driven by energy exposure and policy repricing.
Global Fixed Income Strategy by Robert Timper & Jeremie Peloso & Artem Sakhbiev & Mathieu Savary
08 Apr 2026
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Webcast Replay

US Equity Strategy Webcast Series: Noah Holds Barred - Episode 1

Noah and Jason discussed:

  • The foundations of our constructive outlook and 7700 year-end S&P 500 target
  • The capex outlook and its implications
  • Do valuations represent a meaningful constraint?
  • Tensions and opportunities between market pricing and the state of the cycle
  • What a US recession could mean for equities
  • Middle East tensions: potential paths to resolution and market implications
  • Sector positioning for 2026
US Equity Strategy by Noah Weisberger
31 Mar 2026