April 13, 2021
After a tumultuous 2020, one might have hoped that the volatility rollercoaster would have ended, or at least slowed down. Instead, the ride has continued into the first quarter of 2021, with substantial sector and style reversals connected to expectations for higher interest rates and inflation, views that we have not seen in quite some time. In this webinar, we will discuss market volatility and its drivers, drill down into factor performance and analyze other aspects of the market environment through a risk-focused lens.
Melissa R. Brown
Managing Director, Applied Research