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1
Introduction
2
Global Economic Outlook
3
Fixed Income Outlook
4
Global Outlook
5
China Stimulus
6
European Politics
7
Upside Risks
8
US
9
Europe
10
Brexit
11
Capital Markets
12
Global Economy
13
Risk Appetite
14
Brexit Impact
15
Brexit Elections
16
Jeremy Corbyn
17
Is the Fed gonna get inflation up
18
The key analytical issue for central banks
19
Black Swan
Description:
Explore a comprehensive panel discussion on the macroeconomic outlook and its implications for investors. Delve into the significance of the inverted yield curve, the Federal Reserve's dovish stance, and global growth challenges. Gain insights from industry experts on navigating volatile markets, leveraging new technologies to address globalization issues, and identifying crucial indicators for asset allocation strategies. Learn about the interplay between geopolitical factors, economic trends, and market dynamics as panelists discuss fixed income outlooks, global economic perspectives, and potential risks and opportunities in various regions, including the US, Europe, and China. Examine topics such as Brexit's impact, capital markets, risk appetite, and central bank policies to develop a well-rounded understanding of the current economic landscape and its potential future directions.

The Macroeconomic Outlook - A Balancing Act

Milken Institute
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