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Double Down: Faced With Increased Volatility, Institutions Embrace Risk
- Managing risk – Navigating higher volatility and low yields is a risk management challenge which is compounded by more stringent solvency requirements.
- Generating returns – Institutions are not shying from volatility and will look to active management to help capitalize on opportunity.
- Managing the portfolio – Institutional investors see the need for outside help in managing more complex portfolio strategies.
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