2020 Economic and Market Outlook
Simon looks back on important lessons from 2019 including how liquidity "trumps" growth and how geo-politics is impacting markets in unexpected ways. He will also provide an economic and market outlook explaining why 2020 could look more like the challenging environment of 2018 than a repeat of 2019, and the opportunities and risks investors should watch out for.
What you’ll learn:
• 3 lessons from 2019
• Why 2020 is unlikely to be a repeat of 2019
• Key market opportunities and risks in 2020
- Covid-19, social distancing and the flood of money
- Multi-Asset Webinar: Buy, sell or bunker down?
- Clean technologies and climate policy: the global financial crisis and Covid-19
- Why COVID-19 has made private assets' valuation nuances so important
- China A-shares: the investment themes as the crisis fades
- Active management set to shine as defaults spike
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