2021 saw investors contend with pivotal changes in the macro environment, big developments in ESG policy, and the shifting uncertainties of the pandemic.
Against this backdrop, we are pleased to present the latest views from the specialist asset management firms across the Generali Investments platform, as they look ahead to the risks and opportunities that the new year may present for a range of asset classes, from active equity, fixed income and multi-asset, to liquid alternatives and real assets.
You can now read the full whitepaper at the link below
Supporting documentsClick link to download and view these files
- PDF, Size 2.6 mb