A year of rising interest rates, high inflation, geopolitical instability and general market volatility has many investors feeling fatigued. While the start of a new year won’t automatically usher in a reset, it’s important for investors to try to tune-out short-term noise and zero-in on long-term opportunities as 2022 wanes.
In our view, the intersection of emerging markets and commodities presents one such compelling, long-term opportunity. Join Abigail Watt, abrdn Research Economist, Tom Harvey, Senior Equity Specialist, and Dan Magnusson, Senior Director, ETFs, as they discuss our macroeconomic outlook for 2023 and identify the themes and trends that underpin both EMs and commodities.