H1 2026 Economic & Macro; Market Review with H2 2026 Outlook

Against a backdrop of evolving global risks and shifting domestic fundamentals, the report examines the key macroeconomic and financial market developments that shaped H1 2026 and explores the themes expected to influence the investment landscape in the second half of the year. It also provides our outlook for inflation, interest rates, foreign exchange, equities, fixed income, and sector positioning, together with the principal risks and opportunities investors should monitor.