NAM Talks: How to manage inflation risk in your portfolio in 2022?
Higher inflation rates, Covid-related uncertainties, increasing geopolitical risks and more hawkish monetary policies have set the stage for a potentially volatile 2022. In this environment, achieving real positive returns is becoming increasingly tricky. While equities might be a good solution to mitigate inflation risk, the question remains on how to control or limit equity risk within investors’ portfolios.
Hear from NAM’s Head of Multi Assets team Dr. Asbjørn Trolle Hansen on why diversifying with liquid alternative strategies could offer a solution to achieve these objectives.
Datum: 26.01.2022, 10:00 - 10:30 Uhr
Organisator: Nordea Asset Management
Zielgruppe: professionelle Anlegerinnen und Anleger