Weekly Podcast and Snapshot

A year of uncertainties


2025 was a year of volatility filled with uncertainties and geopolitical risks. However, it has also been an unusual year in asset class terms, with all major asset classes registering positive annual returns.

On one hand, central banks have cut benchmark interest rates, with short-term interest rates falling. On the other hand, bond markets have been steady over 2025, led by corporate credit markets on the back of strong demand and positive fundamentals driving tightening credit spreads.

While the US dollar weakened 10% against other major currencies, the global stock markets recovered strongly since “Liberation Day” in April to register double-digit gains for the year across the board, led by Europe and emerging markets. Finally, commodities, represented the star of the year with gold increasing more than 50%.

In conclusion, we see good reasons for 2025’s positive financial market momentum to persist into 2026 given an encouraging backdrop of buoyant liquidity, low interest rates and positive economic and earnings growth. 





2025: a year of uncertainties  

In this podcast, Edmund Shing, Global Chief Investment Officer, and Hiba Mouallem, Investment Strategist, look back at the past year, and analyse the macroeconomic context and market performance.








Snapshot

In this article, Hiba Mouallem, Investment Strategist, analyzes and deeps dive into that subject including macroeconomic updates, sector performance, and strategic positioning.

 



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Uranium: a key zero-carbon baseload energy source

Edmund Shing, Global Chief Investment Officer of BNP Paribas Wealth Management and Philippe Gijsels, Chief Investment Advisor, BNP Paribas Fortis, discuss about Uranium and its current situation.

Edmund Shing, Global Chief Investment Officer
Edmund Shing, Global Chief Investment Officer
18-06-2025
11 mins
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Tariff Man

Edmund Shing, Chief Investment Officer, and Guy Ertz, Deputy Chief Investment Officer, discuss Donald Trump’s tariff announcements, his real intentions and the potential impact.

Edmund Shing
Edmund Shing
06-02-2025
10 mins
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German elections: implications for the economy and markets

Stephan Kemper, Chief Investment Strategist, and Guy Ertz, Deputy Global Chief Investment Officer, discuss the impact of the German elections from a macroeconomic perspective and the implications for the markets.

Guy Ertz
Guy Ertz
28-02-2025
11 mins
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Our Investment Strategy for October 2025

Edmund Shing, Global Chief Investment Officer of BNP Paribas Wealth Management unveils his convictions for October 2025

Edmund Shing, Global Chief Investment Officer
Edmund Shing, Global Chief Investment Officer
09-10-2025
8 mins
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Our Investment Strategy for November 2025

Edmund Shing, Global Chief Investment Officer of BNP Paribas Wealth Management unveils his convictions for November 2025

Edmund Shing, Global Chief Investment Officer
Edmund Shing, Global Chief Investment Officer
13-11-2025
9 mins
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US growth concerns and the attractions of infrastructure

In this podcast, Edmund Shing, Global Chief Investment Officer, discusses the potential disconnect between the stock market rebound and the risk of US economic growth slowing down.

Edmund Shing
Edmund Shing
21-05-2025
9 mins
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Our Investment Strategy for December 2025

Edmund Shing, Global Chief Investment Officer of BNP Paribas Wealth Management unveils his convictions for December 2025

Edmund Shing, Global Chief Investment Officer
Edmund Shing, Global Chief Investment Officer
11-12-2025
7 mins

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