Navigating today’s market volatility: an update from our multi-asset team
The spread of the coronavirus has caused investor jitters across global financial markets. In addition, the recent slump in oil prices has added to the widespread volatility. We believe distinguishing between short-term ‘noise’ and long-term trends, while maintaining the flexibility both to safeguard returns and seek opportunities, takes on even greater importance at times like this.
In this webinar, our economists and fund managers will share their insights on the unfolding situation. We will discuss the depth in which we are going to monitor and measure developments, and describe how it may affect portfolios, both in the short and long term. Our fund managers Justin Onuekwusi and Chris Teschmacher will provide an update on how we believe our L&G Multi-Index and L&G Multi-Asset Target Return (MATR) funds are positioned and how they may be able to navigate this challenging environment.