Watch this webinar in which our investment experts discuss the current market volatility and strategies for resilient portfolio growth.
In this webinar:
Macroeconomic perspective: Senior Strategist, Martin van Vliet – zooms in on the factors driving current market fluctuations and their potential implications.
Credit strategies: Matthew Jackson, Portfolio Manager – discusses the impact of potentially wider credit spreads.
Global equity strategies: Portfolio Manager, Michiel Plakman – shows how to identify resilient companies with strong fundamentals and long-term growth potential.
Conservative equity strategies: Portfolio Manager, Jan Sytze Mosselaar – explains how low-volatility stocks offer a parachute in times of significant market downturns.
This webinar provides an in-depth analysis of the current market volatility, discusses possible scenarios for the short term and potential opportunities to profit from the indiscriminate selling in the markets.