- The impact of geopolitical conflict and inflation on global financial markets
- Impact of interest rate hikes on investment portfolios and different asset classes
- Why stock picking is tough in this environment
- Is the Crypto market boom over?
About the event
We’re reaching the mid-point of 2022, and the year so far has been tough for investors with very high volatility. Rate hikes, the Russia-Ukraine conflict, and the rising fears of a recession — the 3Rs — are gripping our attention.
What sets the macroeconomic backdrop today is record-high inflation that is hurting our finances. Meanwhile, various economies are still emerging out of Covid-induced uncertainties. The concerns over slowing growth now is clouding the markets.
How should investors anchor their finances to stay resilient in these times?
In this session, join Samuel Rhee (Chairman & Chief Investment Officer) and Sin Ting (Chief Client Officer), as they share critical investing perspectives on: