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Secular Outlook 2026: Our 10-year investment outlook

Multi Asset 2 min read
Understand the key trends shaping returns across equities, fixed income, currencies and alternatives.
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Overview

Returns across traditional equity–bond portfolios are likely to be more modest over the next decade compared to the past 10 years, as the days of stimulus-fuelled gains give way to a world of higher government debt, lingering inflation and greater market volatility. This shift calls for a more dynamic approach to portfolio construction.

Key insights

  • A more demanding environment will require investors to look beyond the traditional 60/40 mix, making greater use of income‑generating assets, active currency management and secular growth themes such as AI.
  • As US exceptionalism fades, market leadership is set to change, with select European and emerging market assets offering compelling long‑term prospects.
  • Private assets and structurally advantaged equity sectors can play a growing role in enhancing portfolio diversification, resilience and real returns over the coming decade.
Main findingsImplications
  • Global economic growth will remain moderate, with AI‑driven productivity gains offset by high public debt and volatile inflation.
  • Equity returns will be lower in the next 10 years compared to the the past decade; US leadership will persist but more rewarding opportunities broadening to Europe and emerging Asia.
  • Dollar to decline by some 10-15% over the next decade, EM bonds to re-rate.
  • Scale back exposure to equities and government bonds and allocate more capital to corporate credit and alternatives.
  • Gradually rebalance away from a US‑centric equity portfolio by adding euro‑zone and emerging Asia exposure.
  • Actively manage currency risk and increase allocations to EM bonds, real assets such as property and gold.
Asset class returns, 10-year forecast, %, annualised

Source: LSEG, Bloomberg, Pictet Asset Management.
Forecasts covering period 30.04.2026-30.04.2036.

Secular Outlook 2026 webinar

Click on the link below to watch chief strategist Luca Paolini and senior multi asset strategist Arun Sai reveal what investors should expect to unfold over the next 10 years across both the global economy and financial markets.