Post-pandemic: Pivoting to a new era

Macquarie Asset Management shares their Outlook 2022. From the effects of the pandemic, to world labour markets, to inflation – their economists and investment leaders explore market themes they expect to impact portfolios in the upcoming year, and look at how to potentially navigate these factors. Additionally, they offer insights on global equities, global bonds and real assets, and where opportunity may lie in the year ahead.

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Banks in “place race” to establish ESG credentials in increasingly competitive market - report

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The new Abnormal