Asset Allocation Outlook: Stay Large, Stay Liquid, Stay Defensive
PIMCO’s investment professionals explore key asset allocation takeaways – and strategies – for navigating what we believe is the late stage of the economic cycle.
Beginning of an Easing Cycle Around the World
With having the worst December followed by the best January in over 30 years, where do we go from here is the question investors have. Jay Pelosky, Co-Founder & CIO of TPW Investment Management sits down to talk about the Fed on hold, trade deal with China, and the bottoming of the economic decline in both China and Europe.
Striking Options: Global Crude Demand and Trade Tariffs
What is China’s weak export data revealing about crude oil? Jeff Kilburg, CEO of KKM Financial and Bob Iaccino, Chief Market Strategist for Path Trading Partners discuss if crude oil is a new proxy for U.S. equities.
Natixis Investment Managers Summit Highlights
Watch highlights from the inaugural Natixis Investment Managers Summit in Paris. Click here to learn more about the Summit
Shaping the Future of Active Management
Renowned portfolio managers discuss how active managers can differentiate themselves from passive competitors – and how they can meet clients’ new demands. Click here to learn more about the Natixis Investment Managers Summit Click here for Session Replays
Why We Favor Emerging Asia to Europe: International Markets and Earnings Trends for 2019
Lindsey Bell and Todd Rosenbluth discuss the investment outlook for 2019 as 2018 ends in market pullback and its impact on overseas markets.
2019 Outlook: Markets and economies
Portfolio managers Rob Lovelace and John Smet, and economist Jared Franz share their thoughts on the outlook for global equities, fixed income and economies as they look ahead to 2019. Additionally, this event is available for CE credit (CFP* and CIMA). *CFP credit only available for U.S.-based viewers.
Market of the Week with Dan Gramza: Silver Futures
Sustained strength in the U.S. dollar and global growth risks continue to be pressure points for precious metals, like silver. In this video Dan Gramza, President of Gramza Capital Management, Inc. analyzes the March silver futures contract discussing what global events and fundamental releases to watch.
Economist Perspective: Brexit Endgame in Sight?
Brexit has now gone well beyond UK's divorce from the EU. In this video Blu Putnam, CME Group Chief Economist discusses the latest Brexit impacts as they continue to unfold. Could we see a change in UK leadership and fresh elections?
Trader’s Edge: Gold Futures vs Gold ETFs and OTC Markets
Key Advantages of Trading Gold Futures In this video Dave Lerman, Director of Education at CME Group, discusses the benefits of trading gold futures vs. ETFs or the OTC market.
Emerging Markets: What Happened? What’s Next?
Emerging markets assets have had a challenging year as the US dollar has risen, trade tariffs have been implemented, and global growth has diverged. Two managers from Lazard Asset Management’s emerging markets platform—Arif Joshi, who covers debt, and Monika Shrestha, who focuses on equities—answer pressing questions about the asset class’s performance and outlook.
Economist Perspective: Can U.S. Dollar Keep Its Momentum in 2019?
Any halt to rate hikes could weaken the U.S. dollar and rally gold. In this video Blu Putnam, Chief Economist at CME Group discusses reasons the U.S. dollar could reverse trend in 2019 and why it may start with the Fed.