Build resilient portfolios
2024 Long-Term Capital Market Assumptions
The 28th annual edition explores how investors can build on the 60/40 portfolio – using new axes of diversification to navigate an economy in transition from disinflation to reflation and from easy monetary policy to higher costs of capital.
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Helping you build a resilient portfolio
Fixed Income
We offer expertise across every fixed income sector, from investment grade credit to high yield loans, and from short duration to unconstrained/absolute return strategies.
Sustainable Investing
We offer ESG focused strategies that seek to meet financial goals while also meeting investment objectives for sustainable outcomes.
Alternatives
Adding globally diversified exposure to real estate, infrastructure, private equity, private credit, hedge funds and liquid alternatives can help boost portfolio stability and provide inflation protection.
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