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Global Market Insights

Research-based commentary on international markets, economic trends, and long-term investment themes - designed to help clients stay informed without relying on short-term market noise.

Research Series Updated  ·  sample titles

Why Cross-Border Diversification Matters for Malaysian Investors

How access to developed markets can reduce concentration risk and broaden long-term opportunities for Malaysian portfolios.

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Understanding Currency Risk in International Portfolios

A practical framework for assessing currency exposure when investing across Europe, the UK, North America, and Australia.

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The Role of Infrastructure in Long-Term Wealth Preservation

Why infrastructure-linked assets appear in durable portfolios and the considerations investors should weigh before allocating.

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UK Markets After Rate Cuts: What Long-Term Investors Should Consider

Evaluating the implications of changing interest rates on income strategies, listed markets, and real assets in the UK.

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European Energy Transition: Opportunities and Risks

A balanced look at the structural growth themes and execution risks across European renewable energy and infrastructure.

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US Innovation Sectors: Growth Potential vs. Valuation Risk

How to frame exposure to technology and innovation-driven sectors within a disciplined, risk-aware portfolio.

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Australia's Resources Sector in the Energy Transition

The evolving role of critical minerals and resource companies within Australian and Asia-Pacific portfolios.

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Building a Global Portfolio for Volatile Markets

Practical principles for constructing resilient international portfolios across shifting market conditions.

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Alternative Assets: What Investors Should Know Before Allocating

Understanding risk, liquidity, and lock-in considerations before exploring non-traditional strategies.

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Family Offices and Global Diversification: Key Considerations

Governance, generational planning, and structural questions for families building international investment programs.

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