Navigating Macro Risk

THURSDAY, JUNE 29 AT 9:46 AM CEST

The turbulent and rapidly evolving European and U.S. political landscapes present uncertainty for investors. Is there a silver lining? As correlation within and across the world’s capital markets declines, decisions on currencies, asset classes, sectors, and factors carry greater risk-but can also offer greater reward.

Join us and leading industry practitioners as we explore:

  • The current macro and geopolitical landscape and its potential impact on investment decisions
  • Practical allocation strategies that can help to navigate risk, while meeting individual performance goals-including multi-asset approaches
  • How market participants are making investment decisions based on today’s market factors to efficiently balance risk/reward goals
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