Main Day 2 | June 11th
- How are rising geopolitical risks and the aftermath of global elections reshaping financial markets and impacting investor sentiment?
- What strategies can mitigate short-term market volatility driven by political uncertainty, while positioning portfolios for long-term resilience?
- How can investors protect portfolios from disruptions in global supply chains and commodity markets caused by escalating conflicts?
- What role do emerging markets play as attractive opportunities in fixed income during times of geopolitical fragmentation?
- How can fiscal, monetary, and trade policy shifts be leveraged to diversify and strengthen portfolio performance amidst global uncertainty?
Check out the incredible speaker line-up to see who will be joining Thomas.
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