Deglobalisation is no longer a theory—it’s becoming the central investment reality. Man Group argues the post‑globalisation era is giving way to a more fragmented world of competing economic blocs, with major implications for inflation, asset returns and portfolio construction. For investors, this isn’t about picking a single outcome, but preparing for a range of regime shifts—where resilience, diversification across scenarios, and the agility to respond to geopolitical shocks will define success.
Read | Deglobalisation: Insights on a Regime Shift

