Investors are facing an era of increased uncertainty and elevated volatility among global risk assets. This foreboding environment is the combined result of recent global trade discord, diverging (and faltering) economic growth profiles, rising domestic political stress and valuations at the tighter end of their range. As these uncertainties intensify, static investment decisions, which are more reliant on market beta, are likely to become increasingly vulnerable.
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L'inscription prend moins d'une minute.
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