Current Market Implications: Managing Exposures & Portfolio Resiliency - EMEA Session
Coronavirus has caused global financial markets to have suffered the most severe downturn in recent memory including the 2008 financial crisis.
In 45 minutes - 30 minutes plus live 15 minutes Q&A, we will cover market dynamics of coronavirus during the current heightened market volatility.
Join this webinar where our experts will discuss:
- Economic allocation vs geographic allocation - thinking globally and acting regionally
- Defensive factors, sectors and ESG across equity and fixed income markets
- Maintaining a long-term perspective during shorter term heightened volatility
- Portfolio insight and transparency – How Factors and ESG can help reduce risk?
April 16, 2020
3:00 p.m. BST London
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