Tap into the latest expert insights on 2020 market volatility from the Natixis Investment Institute and portfolio managers at our independent affiliated asset managers. Get practical strategies for mitigating risk and actionable ideas for calming emotional investors that you can put to work today.

Macro Views

Portfolio Manager Perspectives


Harris Associates Market Update: Analyzing Long-Term Market Opportunities

Bill Nygren of Harris Associates suggests COVID-19 volatility presents opportunities to long-term value investors.


WCM Takes an Active, Long-Term Approach to Down Markets

Paul Black, co-CEO and Portfolio Manager at WCM Investment Management, talks about COVID-19 market turbulence and how an active approach seeks to uncover opportunities in down markets.


Market & Strategy Update: Gateway Investment Advisers

Actively managing index options to hedge equity risk in volatile times is discussed by Mike Buckius of Gateway.


Fixed Income Market Update: Pandemic Pattern to Policy Response

Co-heads of Loomis, Sayles & Company’s Multisector Full Discretion Team explain the coronavirus pandemic pattern and the global policy response needed for markets and economies to recover.


Market & Managed Futures Update: AlphaSimplex Group

Trend following & crisis alpha in volatile markets is discussed by Kathryn Kaminski, Chief Research Strategist, Portfolio Manager on ASG Managed Futures Strategy.


Harris Associates: Oakmark International and Oakmark International Small Cap Update Call

Portfolio Manager David Herro of Harris Associates provides an update on volatility and the potential market consequences of COVID-19.

Ideas for Volatile Times

Learn more about investment strategies specifically designed to minimize equity volatility in portfolios.

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