Investors face the potentially potent risk of the U.S. government defaulting while also positioning for a possible halt in Federal Reserve rate hikes. Join our experts as they go beyond the headlines and provide their perspective on what the market is missing, the risks and opportunities, and how we’re positioning to address them.
Gain practical insights into:
Strategic and tactical portfolio considerations around growth, volatility and interest rates
Current market risk cases and their potential impact on portfolios
New ways to de-risk portfolios and navigate volatility more efficiently
Chris Shipley, Chief Investment Strategist - North America
Mike Hunstad, Ph.D., Chief Investment Offiver - Global Equities
Thomas Swaney, Chief Investment Officer - Global Fixed Income
For Use with Financial Professionals Only. Not For Retail Use.