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Market Insights Market Insights
Jacobus Lacock author image Jacobus Lacock

Macro Pulse Episode 39

In this episode, Jacobus discusses the shift in US Federal Reserve policy, rising long-term bond yields, escalating tensions in the Middle East and their impact on oil prices, and the potential implications of South Africa’s upcoming local government elections.

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Macro Pulse Episode 39
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Equity Equity
Karena Naidu author image Karena Naidu

Global Equity Spotlight Episode 16

Explore what’s driving the emerging market rally, the role of technology and memory chips, and whether recent performance can continue.

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Global Equity Spotlight Episode 16
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Equity Equity
Karena Naidu author image Karena Naidu

Fairtree Equity Explorer | On-the-ground insights from the USA | Episode 17

Join us for a special travel edition of Equity Explorer as we unpack the key sectors and themes shaping the US market, from Healthcare to Defence, Semiconductors and Software. We’ll also explore evolving consumer trends across payments, goods and services, and share our team’s key takeaways from the trip.

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Fairtree Equity Explorer | On-the-ground insights from the USA | Episode 17
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Market Insights Market Insights
Jacobus Lacock author image Jacobus Lacock

Macro Pulse Episode 38

Explore the US economy’s sweet spot, risks from rising long bond yields, elevated fuel prices, and political polls ahead of local government elections.

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Macro Pulse Episode 38
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Private markets Private markets
MJ Dippenaar author image MJ Dippenaar

Private markets and the case for private US real estate

As investors look beyond traditional public markets for differentiated sources of return and diversification, private markets are becoming an increasingly important part of the investment landscape. Private equity, private debt and real estate can introduce sources of return that differ from those available in traditional equities and bonds.

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Private markets and the case for private US real estate
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Market Insights Market Insights
Jacobus Lacock author image Jacobus Lacock

Macro Pulse Episode 37

This episode unpacks the three big themes driving markets in the second half of 2026: US economic and market resilience, the AI capex cycle, and geopolitical instability in the Middle East.

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Macro Pulse Episode 37
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Equity Equity
Cornelius Zeeman author image Cornelius Zeeman

Fairtree Global Equity Fund Q2 2026 commentary

The quarter was defined by two overlapping themes: a sharp rebound from the March US-Iran shock, as the geopolitical risk premium unwound and oil prices retraced, and an exceptionally powerful but highly concentrated AI and semiconductor rally that drove index returns before consolidating in June following a more hawkish shift in interest rate expectations.

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Fairtree Global Equity Fund Q2 2026 commentary
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Multi-Asset Multi-Asset
Kamini Naidoo author image Kamini Naidoo

Fairtree Wild Fig Multi-Strategy USD Segregated Portfolio Q2 2026

The Fairtree Wild Fig Multi Strategy (“Wild Fig”) is our flagship multi-strategy balanced hedge fund range, designed to deliver equity-like returns with meaningfully lower drawdowns by combining uncorrelated alpha streams across equities, fixed income and commodities.

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Fairtree Wild Fig Multi-Strategy USD Segregated Portfolio Q2 2026
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Fixed Income Fixed Income
Paul Crawford author image Paul Crawford

Fairtree Global Flexible Income Plus Fund Q2 2026 commentary

The second quarter of 2026 marked a decisive shift in the global rate regime. After more than a year of disinflation and central bank easing, inflation reasserted itself across the major economies, forcing policymakers onto a more hawkish footing and driving a broad repricing of government bonds.

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Fairtree Global Flexible Income Plus Fund Q2 2026 commentary
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Fixed Income Fixed Income
Paul Crawford author image Paul Crawford

Fairtree FR Income Plus Fund Q2 2026 commentary

The second quarter was characterised by a broad improvement in global market sentiment as the sharp risk-off environment seen in March reversed.

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Fairtree FR Income Plus Fund Q2 2026 commentary
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Multi-Asset Multi-Asset
Jacobus Lacock author image Jacobus Lacock

Fairtree Balanced Prescient Fund Q2 2026 commentary

Q2 2026 was defined by a single event that arrived early and then reversed. A Middle East oil shock that drove Brent crude above US$120 a barrel before a mid-June ceasefire reopened the Strait of Hormuz and sent prices back toward the low US$70s.

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Fairtree Balanced Prescient Fund Q2 2026 commentary
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Equity Equity
Cornelius Zeeman author image Cornelius Zeeman

Fairtree Global Emerging Markets Fund Q2 2026 Commentary

The quarter was defined by an exceptionally powerful but highly concentrated recovery in emerging market equities, led by a small number of semiconductor and memory names, following the March US-Iran shock and the subsequent ceasefire that unwound the geopolitical risk premium.

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Fairtree Global Emerging Markets Fund Q2 2026 Commentary

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