We’re adjusting our stance in response to rising risk while maintaining a disciplined view on long-term strategy.
Chief Investment Officer of Global Asset Allocation, Anwiti Bahuguna, Ph.D., outlines the investment themes and return expectations from our new 10-year outlook.
We explore how stabilization and growth of global markets may potentially shift preferences toward equities relative to bonds.
Aside from a few days of volatility, markets have risen steadily this year. So how should you position your portfolio in an environment where risk assets may continue to move in lockstep?