WEBINAR:
What the New World Order Means for Markets

Insights from Three Distinct Vantage Points


Higher Inflation and interest rates returned as top concerns for investors after the Fed’s first rate hike in years. The resulting bond sell-off leading to an inversion of the yield curve has left investors with a number of considerations around the future market implications of aggressive monetary policies.

Join our experts as they provide practical insights into asset allocation and portfolio positioning during this uncertain and volatile market environment.

Key topics:

  • Adapting portfolios to a shifting market environment
  • Navigating the surge in bond market volatility
  • Long term market impacts of the energy crisis


Presenters:

    • Wouter Sturkenboom, CFA, Chief Investment Strategist, APAC & EMEA
    • Jackson Hockley, CFA, Senior Energy Equity Analyst
    • Tim Johnson, Fixed Income Specialist


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.

REGISTER

This section is for custom Javascript to be added. Do not place any other text in this section.