Qontigo Insight™ Quarterly Multi-Asset Risk Review

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April 27, 2022

Most developed equity markets may already have recouped the losses incurred since the Russian invasion of Ukraine, but the reverberations of higher energy and raw-material costs are likely to prevail over months to come. As investors re-evaluate their inflation expectations, bond yields rise, and central bankers face the quandary of quelling accelerating consumer prices without jeopardizing economic recovery. At the same time, geopolitical concerns are likely to dominate the upcoming elections in Europe and the United States.

Join Christoph Schon in this webinar to hear how all this affects the risk of global multi-asset class portfolios.

Christoph Schon, CFA, CIPM
Senior Principal, Applied Research