Navigating Uncertainty – 2H Outlook with IVOL Portfolio Manager Nancy Davis
Wednesday, June 29
11:00 am - 12:00 pm EDT
Please register below to attend this event
Rising rates and rising inflation spell uncertainty for the markets. In the current environment, bonds and stocks have sold off together leading to pain across most investments. The usual 60/40 portfolio doesn’t seem to be working. Fixed-income investors are usually short interest rate volatility and have credit risk, which could be problematic if we go into a slow growth or recessionary environment. Investors are asking what’s next and how to position portfolios when very little appears to be working.
IVOL portfolio manager Nancy Davis believes we are currently in uncharted territory and that investors need to complement their existing fixed-income allocations with non-correlated solutions.
In this webinar, Nancy will provide an overview of current Fed policy, fixed income volatility, her outlook for the 2H 2022, and why she believes investors should consider The Quadratic Interest Rate Volatility and Inflation Hedge ETF (IVOL).