Multi Asset
Asset managers walk fine line between opportunity and poor taste
As conflict intensifies between Russia and Ukraine
Investors warned about high volatility amid Russia-Ukraine war
Crisis highlights need for broad diversification as a way to improve resilience to shocks
Should investors be bullish on equities?
Strong commodities returns, flattening curve and weak credit performance ‘signs of late-cycle behaviour’
Alternatives | 23 Feb 22
Can alternatives help multi-asset investors beat inflation?
‘Exposure to more economically-sensitive commodities makes sense’
Four themes that could threaten equity markets in 2022
Asset class predicted to have positive year as world continues to move back to normality

