Curmi & Partners

Research & Articles

At Curmi & Partners, we scrutinise and re-evaluate local and international financial markets constantly, because the value of providing our clients with the right prospects and low-risk big-reward strategies far exceeds the normal way of doing things. As we are not tied to any one financial institution, we are free to choose the best opportunities from the most respected and responsible investment  managers, allowing us to build strategies fully equipped with the necessary research and data to reap strong returns.

Should you wish to receive any of the research published so far, please feel free to contact us.


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Preparing for tougher times

Article by David Curmi – 3rd July 2022

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Hope is a risky strategy

Article by Somnath Banerjee - 20th June 2022

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Portfolio Tweaking In An Inflationary Environment

Article by Noelle Micallef - 22nd May 2022

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Credit Market Roundup and 2022 Forecasts

Article by Simon Gauci Borda - 8th May 2022

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Elevated risks warrant more diversification

Article by David Curmi - 24th April 2022

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How inflation is impacting bond markets

Article by Matthias Busuttil - 12th April 2022

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The Ukraine invasion moves the narrative away from reflation to stagflation

Article by Robert Ducker - 27th March 2022

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Energy price shock from the Russia-Ukraine conflict causing a stir

Article by Noelle Micallef - 13th March 2022

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What’s next for bond investors?

Article by Matthias Busuttil - 27th February 2022

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