High inflation, geopolitical strains, and a decelerating economy have contributed to a unique environment driving sell-offs across both stock and bond markets. With so much uncertainty around the globe, where should investors focus?
We invite you to join our investment leadership team for an insightful discussion on how investors are currently balancing short-term market dynamics against long-term perspectives.
Among the topics we’ll discuss during this webinar, we will endeavor to answer:
• How has the long-term outlook for equities and fixed income changed?
• After more than a decade of low interest rates that incentivized risk taking,
what comes next?
• How should investors prepare for a potential recession or
continued geopolitical uncertainty?
• How might the bear market end?