In this CE Webinar you’ll learn:
- The four forces behind the self-reinforcing cycle driving money flows towards index products.
- How these forces have impacted SPIVA results, and the implications for investors’ decisions making.
- How to measure market opportunity via the calculation of the supply of available alpha and the resulting impacts vis-a-vis the active to passive shift.
- Strategies on how to put the recent wave of index innovation to work for you and your clients.
- And much much more!
During this session, you will learn:
- What current valuations and yields imply for expected returns on traditional portfolios
- Why institutions and family offices are flocking to multi-asset strategies to close their funding gaps
- The surprising truth about the relationship between rising rates and bond returns
- New approaches and asset classes with the potential to diversify sources of return and significantly improve client outcomes
- 7 key takeaways to give you the unique tools to address today’s fundamental market challenges