7th December 2021
M&G: Outlook video 2022
After a period of surprising outcomes for both equity and debt markets, both of which have reached record prices even after the global instability caused by COVID-19, what does 2022 hold? At the forefront of investors’ minds are the questions of whether inflation is transitory or more permanent, the likely rate hikes from major central banks, and if the high prices of risk assets, whether equities, corporate bonds or high yield, are sustainable. Jim Leaviss, CIO, Public Fixed Income, Fabiana Fedeli, CIO, Equities & Multi Asset, and Maria Municchi, multi asset Fund Manager, discussed how these issues are likely to affect their respective asset classes in the coming year.
Investments, Investment Commentary, Partner Videos, Market Outlook

You need to be logged in to comment on this article