Qontigo Insight™ Q1 2022 Equity Risk Review

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April 7, 2022

The risk environment was relatively benign in 2021, but that has changed substantially in the first quarter as higher inflation, expectations of central bank tightening and war led to a sharp increase in equity volatility. In this webinar we will discuss the sources of that heightened volatility, its impact on factors and sectors, and other critical topics managers and asset owners need to know to better understand the new challenges of investing so far this year.

Melissa R. Brown
Managing Director, Applied Research