News and Education

RISE? FIIG’s Macro Outlook for January 2026

by Philip Brown, Head of Research, FIIG Securities | Jan 20, 2026
In our January Macro Outlook, Head of Research, Philip Brown, outlines a clear strategy for 2026 — RISE — which focuses on Returns in fixed income, Inflation, Sector diversification, and Exchange rate exposures. The publication explores how investors can increase exposure to bonds to capture attractive yields, while managing ongoing risks through diversification and targeted portfolio construction.

The economic landscape has shifted — and there are big questions investors are asking.

In our January Macro Outlook, our Head of Research, Philip Brown, explores the key economic forces shaping markets and what they could mean for bond portfolios in the year ahead.

We sat down with Philip to discuss the major themes and insights from the Outlook, including the RISE strategy, which explains how to balance the desire to make returns while managing risk exposure.

To download the Macro Outlook, click here