Emerging Markets Economist
Schroders Economics Group produces 30-year return forecasts, on an annual basis, for a range of asset classes. Our update for 2016 is now available.
In this report we outline the methodology used, which is based on a series of building blocks and estimates of risk premia, and surmise the key conclusions from our analysis.
Our full in-depth analysis can be found as a PDF at the link below.