Global economic outlook: what risks and implications investors need to consider

Presented by Sebastian Mullins, Multi-Asset Portfolio Manager at Schroders

 


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About this presentation

In just a few short weeks, the COVID-19 narrative has shifted from how bad things will get to how soon we can recover, but with economies, markets, policies, and geopolitics colliding, is the worst yet to come?

In this webinar, Sebastian Mullins, Multi-Asset Portfolio Manager at Schroders, joins us to provide a macro analysis of the global markets, including the risks and implications investors need to consider. Sebastian will also share how the Schroders Multi-Asset team are currently positioning their portfolios to respond to current market conditions.

This webinar aims to give you an understanding of:

  1. A macro analysis of what is currently happening in the global markets
  2. The current economic outlook and what the risks and implications are for investors
  3. How to position your portfolio to respond to the current market uncertainty
  4. How portfolio diversification can help you find the right balance in times of uncertainty

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