Global markets have reacted to the regime shift from quantitative easing towards quantitative tightening. Furthermore, rising interest rates and persistent inflation may be changing the opportunity set across global equities. Join Amundi US’, as Marco Pirondini, Head of Equities, US, Portfolio Manager, presents a comprehensive assessment of how to assist clients when investing in international, global equities and finding potential solutions despite these new challenges and realities.
Topics include are as follows:
- An overview of the current macro environment on inflation, interest rates, liquidity, pricing for major asset classes and global market themes to watch
- Implications and challenges facing today's equity investors
- Opportunities and potential equities solutions
CIMA®, CPWA®, CIMC®, RMA®, and AEP® CE Credits have been approved.
Senior Managing Director, Head of Equities, US, and Portfolio Manager
David H. Lenok - Host
Senior Wealth Planning Editor