After over two years of the Covid-19 pandemic, the world is now entering a challenging and unpredictable time in international politics. Fear of inflation has taken over the markets in recent months. What central banks believed was a transitory period, became a significant issue set to stay with us for longer.
Alternative assets have been able to protect investors against inflation in the past. Will allocators and portfolio managers turn their attention more towards alternatives to protect their portfolios?
Together with a panel of experts, we analyze the most recent changes in the macroeconomic environment and how central banks' policies will impact alternative assets. Some panel topics include: