Markets 2022: Managing Volatility

Last update - 20 January 2022 By Rivkin

During this discussion, our Senior Portfolio Manager, Oliver Gordon, gives an overview of Market Volatility in 2021, the potential Economic Themes for 2022, and how to use multiple asset classes in your portfolio to smooth returns. He then introduces Rivkin's Low Volatility Strategy, one of Rivkin's investment strategies for managing Volatility, the history of the approach, past performance, and how to manage potential volatility in your investments.

This webinar covers the following topics:

1. Market Volatility in 2021
2. Economic themes for 2022
3. Using multi-asset classes to smooth returns
4. Rivkin’s Low Volatility Strategy
5. A history of the approach and past performance
6. How to manage potential volatility in your investments
7. Q&A

 

Important Notice:

Rivkin does not ever provide personal financial advice. Please consider your own circumstances before purchasing any of our products or acting on our general advice, for any Rivkin product or recommendation.

Past performance is not a guarantee of future performance. Investing and trading carry financial risk, when judging performance please consider the different types of investments and levels of risk associated.

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