2021 has again been an eventful year for Emerging Markets with enhanced market volatility driven by Covid, rising country-specific political risks and increased Chinese regulatory actions. Alquity has successfully navigated these turbulent waters, delivering improved returns and lower volatility across our key products. But, what does the future now hold for the asset class? In the following webinar we discuss the outlook for Emerging Markets and our strategy for the next 12 months, covering topics such as:
– Higher commodity prices – winners and losers
– China and India – will the significant divergence of market returns continue?
– Impact of November’s COP26 UN Climate Change Conference on Emerging Markets
– Our key differentiators and expected alpha generators for 2022
Link to the webinar: https://www.youtube.com/watch?v=V2V_TcOR3o0
Disclaimer: For professional investors only.