This content is from: Portfolio This Manager Sees Opportunities in Eastern Europe—Even in Russia and Ukraine Kopernik Global Investors believes that commodity-related stocks in the region can withstand inflationary pressures. By Hannah Zhang July 01, 2022
This content is from: Portfolio These Sovereign Bonds Are Even Riskier Than Russia’s The war in Ukraine made Russian securities untouchable — but other countries are still worse. By Jessica Hamlin June 09, 2022
This content is from: Video What Russia’s Invasion of Ukraine Has Taught China Plus, how Roe v. Wade decision could impact midterm elections, according to BCA Research’s Matt Gertken. By Staff May 12, 2022
This content is from: Portfolio The Russia-Ukraine Debacle Tests Active Managers’ Prowess Fundamental managers quickly responded to the economic fallout from the invasion, protecting investors from at least some of the pain. By Hannah Zhang April 29, 2022
Sponsored Farmers Watching Weather and a War as Growing Season Gets Underway Sponsored by CME Group June 13, 2022
This content is from: Portfolio Asset Owners Prepare for Stagflation In a survey of 202 investors globally, 51 percent said the global economy is entering a period of stagflation. By Jessica Hamlin May 09, 2022