The next few months are likely to be a whipsaw of domestic politics, geopolitical risks, and societal pressures. The combination of polarizing politics, unstable geopolitics, social unease and other macro factors equals the potential for considerable volatility in the markets.
This webcast will focus on some of the major factors that will impact markets – and by direct extension, investors’ portfolios – over the next several months. But most importantly, the webcast will aim to provide workable insights into what investors might consider from an investment point of view to help their portfolios weather the storm. Possible topics of specific focus include impact on the private markets as well as opportunities in passive alternative strategies.
kstorfer@institutionalinvestor.com