Investing in Volatile Markets

Global markets saw volatility pick up in Q4, 2018 amidst continued worries about the Federal Reserve tightening, global trade wars, a slowing Chinese economy, and fundamental European weakness. Given the increased unsteadiness in both equity and credit, how are alternative asset managers navigating this challenging investment environment? How does the global investment landscape change in a turbulent market and what are the keys to successfully identifying attractive risk-adjusted investments?

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