H1 2026 Market Review: What Drove Returns Across Assets

The first half of 2026 was defined by a highly concentrated market environment, with AI-driven technology, industrial capital spending, and select commodities driving both sector and country leadership. At the same time, geopolitics, trade tensions, and shifting interest-rate expectations created sharp dispersion across regions and asset classes. For advisors, the key message is that returns were not broad-based, making understanding the underlying drivers of performance essential for client conversations and portfolio positioning.

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