Global financial markets face an unprecedented macroeconomic environment impacted by strong crosscurrents. While economies are benefiting from pent-up global demand and monetary stimulus, high inflation is spurring tighter central bank policies and rising rates. Will central banks adopt more aggressive policies? Are global markets properly pricing risk?
Join our Midyear 2022 Investment Outlook when we gather our investment leaders to provide insights on adapting to market uncertainties and the potential investing implications for the second half of the year.
Continuing education credits apply to live webinar and replay participants.
Speakers:
Giulio Martini
Partner, Director of Strategic Asset Allocation
Leah G. Traub, Ph.D.
Partner & Portfolio Manager
F. Thomas O'Halloran, CFA, J.D.
Partner & Portfolio Manager
Kewjin Yuoh
Partner & Portfolio Manager
Mila Skulkina, CFA
Portfolio Manager
Timothy Paulson
Investment Strategist