Recorded on On Tuesday 17 November at 10am.
In the wake of COVID-19, investors are continuing to struggle in the search for attractive risk-adjusted returns. With global equities being particularly volatile, bonds offering poor real returns and the Bank of England seriously considering negative interest rates, gaining exposure to investments capable of delivering stable returns and attractive levels of income is becoming increasingly important.
Watch Deputy Fund Manager, Chris Cox and Business Development Director, Henny Dovland present our latest CPD qualifying webinar. We look at what alternative asset classes can provide ballast within your portfolio in the current climate and examine the shift to alternatives to achieve attractive and dependable returns.