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Axioma Insight™ 2024 Multi-Asset Risk Outlook

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January 25, 2024

After suffering one of their worst combined years in history in 2022, stocks and bonds finished 2023 (just about) in the black, as monetary tightening is expected to finally have peaked. If inflation and interest rates continue to fall as anticipated in 2024, they could provide a significant tailwind for both asset classes alike. However, if the underlying projections turn out to be too optimistic, ongoing positive correlations could instead result in a sustained period of high risk for global multi-asset class investors.

Join Christoph Schon in this webinar to explore ways of understanding and modelling the associated risks and opportunities.

In keeping with the spirit of this holiday season, all attendees of this webinar have a chance to be entered into a prize drawing!*

*Winner will be selected at random from the list of attendees that opt-in to participate in this raffle at this event. Winner will be alerted after the event. Must be present for the entirety of the event to be entered into the drawing.

Christoph Schon, CFA, CIPM
Senior Principal, Applied Research