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Five Lessons for Investors From the COVID-19 Crisis
May 19, 2020
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.
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Research Author
- Dimitris Melas - Managing Director, MSCI Research