After a volatile start to the year, global markets are shifting as rate cuts, policy changes, and sector rotations reshape investment opportunities. Our latest Investment Update 2025 explores how equity markets reached new highs despite rising risks, why private credit and property are becoming key income drivers, and what these shifts mean for portfolio positioning over the next 12 months.
Download the full report to see Barker Wealth’s forward outlook, portfolio adjustments, and asset-class insights.