Alternative Investments, Virtual Events & Programming

Multi-Asset Class Outlook

Monday, June 15 | 3:00 PM - 4:00 PM

Loading Events
This event has passed.

Overview

The COVID-19-related market selloff and subsequent market rebound has caught many investors off guard. Market participants continue to assess its implications on the shape of the economic recovery and investment strategy implications as yields continue to be low and valuations elevated in certain asset classes. Please join us to learn more about latest macro trends and their implications on investment portfolio positioning as policy makers continue to provide monetary and fiscal support while waiting for healthcare solution for the latest crisis.

Agenda

3:00 PM | WELCOMING REMARKS

David Motsonelidze, CFA, Director, Global Macro Investment Strategist, Stifel


3:05 PM | ECONOMY AND MARKET OUTLOOK

Rupert Hope, Portfolio Manager, Lazard Asset Management


3:45 PM |  Q&A


4:00 PM | CLOSING REMARKS & ADJOURNMENT

Anna Sembos, PhD, CFA, Managing Director, CIFC Asset Management

Additional Details

Learning Outcomes

  • Learn about current macro trends
  • Understand current market backdrop
  • Assess implications of macro trends on various markets