399: Middle East conflict: implications for investors
No se pudo agregar al carrito
Solo puedes tener X títulos en el carrito para realizar el pago.
Add to Cart failed.
Por favor prueba de nuevo más tarde
Error al Agregar a Lista de Deseos.
Por favor prueba de nuevo más tarde
Error al eliminar de la lista de deseos.
Por favor prueba de nuevo más tarde
Error al añadir a tu biblioteca
Por favor intenta de nuevo
Error al seguir el podcast
Intenta nuevamente
Error al dejar de seguir el podcast
Intenta nuevamente
-
Narrado por:
-
De:
Alongside its profound human and political consequences, the conflict has prompted significant market moves. Among other topics, our speakers covered:
- How the duration of energy market disruption could be pivotal to the investment outlook
- The potential implications for inflation and central bank policy of higher energy prices
- Why government bond yields have moved higher and credit spreads are largely tighter
- The market backdrop in which the conflict has unfolded, including AI-related concerns
- Signals that might prompt us to make material changes to portfolio positioning
Our speakers were Jason Shoup, Global Co-Head of Fixed Income and CIO, L&G – Asset Management, America; Colin Reedie, Head of Active Strategies; and Chris Jeffery, Co-Head of Asset Allocation and Head of Macro.
The webinar was moderated by Laura Brown, Head of Public Markets Distribution.
For professional investors only. Capital at risk.
Todavía no hay opiniones