The second annual edition of J.P. Morgan Asset Management’s Global Alternatives Outlook presents a 12- to 18-month outlook for a wide range of alternative asset classes. Drawing on the insights of more than 700 alternatives professionals around the globe, we explore how alternative asset allocation can help build resilient portfolios, reducing risk and satisfying investor appetite for income and alpha.
With 50 years of experience investing in alternatives and one of the industry’s broadest lineups of alternative investment strategies, we think we are uniquely positioned to offer investors this Global Alternatives Outlook.
OVERVIEWS AND OUTLOOKS BY ASSET CLASS
We anticipate that 2020 will be a year of moderate global growth and contained inflation, with risks skewed to the downside.
Investors are reaching to alternative asset classes to achieve outcomes similar to or better than what they’ve realized from public markets.
Our hedge fund professionals investing across a diversity of strategies agree: advances in technology will reshape the investment landscape in 2020.
Infrastructure debt is an increasingly mature market in which institutions compete against banks and sit together in new financing structures.
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