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Morningstar’s 2026 Global Investment Outlook: Preparing for What Comes Next

What trends are shaping global investment strategies for 2026?

For financial professionals, uncertainty is the only constant. Shifting geopolitics, fluctuating interest rates, and evolving investor behavior continue to redefine global markets. Morningstar’s 2026 Global Investment Outlook draws on insights from more than 400 analysts and investors worldwide to help institutional investors prepare—not predict—for the year ahead. Our independent research spans asset classes, regions, and investment styles, offering evidence-based guidance to inform strategic decisions in a volatile environment.

From the rise of AI-driven capital spending to opportunities emerging in undervalued regions like South Africa and Asia, our outlook examines how today’s forces will influence long-term portfolio construction and asset allocation.

What's Inside

  • The impact of interest rates and dollar strength on global markets, and what these shifts mean for asset allocation and inflation expectations.
  • How diversification and risk management strategies can strengthen portfolios across public and private markets in an era of market volatility.
  • Where geopolitical and international investment risk may create opportunities in undervalued regions and sectors for long-term investors.