Our panel of experts share insights about growth, volatility, and interest rates at Natixis’ 2020 Institutional Outlook event.
Natixis strategists forecast little change in capital markets for 2020.
Why improving relations among global leaders could benefit economies and careers is explained by Global Market Strategist Esty Dwek.
With no obvious shocks on the horizon, Chief Market Strategist David Lafferty believes 2020 market performance hinges on pace of global growth.
Value recovery under way, Brexit discounts, and European banks’ attractive yields are covered by David Herro, CIO – International Equities, Harris Associates.
Business fundamentals and market factors are aligning in a way that suggest a potentially strong year for emerging markets in 2020.
Generally solid US economic data and signs of improvement in China point to a market stabilization or improvement rather than a further slowdown.
Chief Market Strategist David Lafferty on what makes a market bubble and what investors should be mindful of as they consider portfolio allocations.
A look at how a trade truce between the US and China came together and what it could mean for markets and investors in the months ahead.
How political tensions mixed with supply-and-demand dynamics could help shape global oil markets over the months and years ahead.
Three leading portfolio experts explain how they invest in a shifting economic and political landscape.
Senior Investment Strategist Esty Dwek shares insights on investor concerns for the year ahead, including volatility, interest rates, Brexit, and trade wars.
European Union insiders explore various scenarios for EU politics over the next decade, given migration, monetary policy disagreements and Brexit.
Our market strategists share insight into the state of retirement security today based on the results of the 2018 Global Retirement Index.