Investing Panel: Navigating Uncertainty

19 Sep 2019
4:30 PM-5:40 PM

Given the mature business cycles in the key economies, continued populist and geopolitical pressures and limited Government policy ammunition, the fundamental outlook for global policy, growth and earnings is increasingly challenging. Financial risks are a key concern due to high corporate and non-bank leverage, weakening credit quality, and tightening liquidity. In view of lower market return prospects and headwinds to the global economy and capital markets, how are investors dealing with such high levels of uncertainty and positioning themselves for both the risks and opportunities?