THE NEXT FIVE YEARS:
How to Navigate the Market with Factors

Equity markets (notably U.S. stocks) have defied gravity for some time — even a global pandemic could not keep them down for long. But our call for a Reversion to Mediocrity in global economic growth may (finally) mean mediocre global equity returns ahead. Investors will need to seek out persistent, and risk-efficient, sources of excess returns in order to meet their capital growth objectives.

Join our Head of Quantitative Strategies, and Head of Quantitative Research Australasia and learn what you can do to prepare your portfolio for these changing markets.

DATE: Tuesday 16 November, 2021

TIME: 9.00am HKT | 12.00pm AEDT | 2.00pm NZT

Our experts will discuss: 
  • The opportunity for factors in relation to our Capital Market Assumptions 5-Year Outlook
  • How investors can efficiently integrate factors and sustainablity to achieve their objectives
  • Implementing a risk-aware approach that minimises unintended risk exposures


For Professional Investor Use Only

For Asia-Pacific markets, this information is directed to institutional, professional and wholesale clients or investors only and should not be relied upon by retail clients or investors.

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