
Macro Research
Macro research involves analyzing large-scale economic factors that influence financial markets and investments. It examines trends like interest rates, inflation, unemployment, economic growth, and government policies to understand the overall economic environment. Investors and businesses use this research to make informed decisions about asset allocation, risk management, and strategic planning. By understanding how these broad factors interact, macro researchers aim to forecast future economic conditions and identify potential opportunities or risks in the market. In essence, it provides a big-picture perspective to help guide long-term financial and economic strategies.