Multi-asset investors face more macro call challenges in 2017

2016 was a volatile year in markets, highlighted by the global growth scare, the UK’s Brexit vote and Trump’s surprise presidency. Asbjørn Trolle Hansen, manager of the Nordea 1 – GBP Diversified Return Fund shares his views with Professional Pensions on why investors shouldn’t make macro calls this year, due to expected continued volatility.

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