August 12, 2020
Webinar | Qontigo Insight™ Quarterly Multi-Asset Risk Review
Large-scale bond purchases by the world’s major central banks kept sovereign yields within tight ranges close to or below zero throughout the second quarter of 2020, despite extensive fiscal rescue packages. Stock markets, meanwhile, recorded their strongest quarter in more than 20 years, also benefitting from the reduced borrowing costs. Join this webinar to hear more about how this ongoing disconnect between those two major market segments affected multi-asset class portfolio risk.