What might year three of the global pandemic mean for markets? Are there certain sectors, markets, or asset classes that investors should be considering for their portfolios? Where are the biggest risks? How can income-focused investors position portfolios for potential interest rate rises?
Portfolio Managers and Strategists from across the Natixis Investment Managers complex assess the investment landscape for 2022 and share insights on opportunities and obstacles for varying asset classes.
Macro & Market Views
Varying views on a cryptocurrency correction, inflation, and the Great Resignation are shared by a panel of portfolio managers.
With midterm elections looming, our government relations expert lays out the complex dynamics of an exciting and challenging 2022 agenda in Washington, D.C.
After thriving in the pandemic, institutions are facing the unknowns of 2022 with confidence. See why they’re saying, “Bring it on!”
Growth catalysts, favorability of US equities, inflation’s path, and fixed income hurdles and highlights are explored by our investment experts.
This material is provided for informational purposes only and should not be construed as investment advice. There can be no assurance that developments will transpire as forecasted. Actual results may vary. The views and opinions expressed may change based on market and other conditions.