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Multi-Asset funds: The tale of the stock-bond correlation

Investment Manager Roundtable Discussion Series - Session 2

Stock-bond correlation, an important factor in portfolio construction, has been persistently negative for the last 20 year (particularly in the US), but there are signs that this could change. What are the implications to both strategic and tactical asset allocation if the stock-bond correlation returned to positive again? And how can investors factor in this possible regime shift, as well as other uncertainties in the global economics and markets outlook, when applying modern portfolio theory in portfolio construction? Join our panel of seasoned multi-asset portfolio managers and quants to find out.   

Please note that all sessions will be hosted in English.

Dr. Chang Hwan Sung, Portfolio Manager and Director of Solutions Research, Invesco

Florian Neto, Head of Multi-Asset, North Asia and Senior Portfolio Manager, Amundi

Stuart Rumble, Investment Director, Solutions & Multi-Asset, Fidelity International

Ricky Chau, Portfolio Manager, Franklin Templeton

Lester Chan, Head of Wealth Management, Greater China, Saxo

 

If you have interest to meet the experts in-person,  just sign up the offline seminar! Click here to sign up. 

Saxo Capital Markets HK Limited
19th Floor
Shanghai Commercial Bank Tower
12 Queen’s Road Central
Hong Kong

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Hong Kong S.A.R
Hong Kong S.A.R

Saxo Capital Markets HK is a company authorised and regulated by the Securities and Futures Commission of Hong Kong. Saxo Capital Markets HK Limited holds a Type 1 Regulated Activity (Dealing in securities); Type 2 Regulated Activity (Dealing in Futures Contract); Type 3 Regulated Activity (Leveraged foreign exchange trading); Type 4 Regulated Activity (Advising on securities) and Type 9 Regulated Activity (Asset Management) licenses (CE No. AVD061). Registered address: 19th Floor, Shanghai Commercial Bank Tower, 12 Queen’s Road Central, Hong Kong

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