
Date
July 15, 2020
July 15, 2020
Although equity markets seem to have recovered much of the ground they lost in Q1, volatility remains high, certain style factors have been behaving “badly” and dispersion of risk and return across countries and currencies is widening. In this webinar we discussed all these aspects of the risk environment in the second quarter and more.
Olivier d’Assier
Head of Applied Research, APAC
Qontigo