Five Lessons for Investors From the COVID-19 Crisis
categories: Americas, Asia Pacific, Australia, EMEAI, MELAS Dimitris, KOUZMENKO Roman, NAGY Zoltan, KUMAR Navneet, Asset Allocation and Asset Liability Management, Factor and Risk Modeling, Investing (Investment Management), Responsible Investing, Asset Managers (Quant or Fundamental), Asset Owners, Banks, Hedge Funds, Indexes, ESG Products & Services, Equities, Multi-Asset Class
The coronavirus pandemic sparked a surge of volatility across global financial markets. What lessons could investors draw from the COVID-19 crisis? In this paper, we present and discuss empirical evidence supporting five key lessons for investors regarding global investing, managing factors, active management, indexed investing and ESG investing.