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Understanding Geopolitical Risks and How They Relate to Your Portfolio Management in 2022

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Looking ahead to 2022, it’s important for advisors to understand and plan ahead for the geopolitical landscape and the investment risks it might pose in the short, medium, and long term. Understanding the geopolitical risks looking forward will allow advisors to inform and educate their clients, and help to manage portfolio strategies in meaningful, risk-aware ways.

IndexIQ recently sponsored a webcast, Geopolitical Risks That Could Potentially Impact Portfolios in 2022, that featured John Sitilides, principal at Trilogy Advisors, and Lauren Goodwin, portfolio strategist for New York Life Investments, and was moderated by Dave Nadig, CIO and director of research for ETF Trends and ETF Database.

Among the topics discussed were the U.S. security alliance with the U.K. and Australia in the Indo-Pacific region, the fallout between the U.S. and France and the role of the EU in geopolitics, China’s push to be a global leader and the impacts those choices…

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