
Managing risk
Elijah Ķŕiš Amalgama
15 min•0 تشغيلات•0 مفضلات
Business & Finance
الوصف
The UBS Wealth Management CIO’s Q2 Outlook details some of the ways in which investors can manage the portfolio risks emanating from the Russian invasion of Ukraine, as well as from high inflation, rising interest rates and ongoing market volatility. The report’s editor in chief Kiran Ganesh and his colleague Karim Cherif explain that while the range of potential outcomes is certainly broad, it doesn’t mean that investors can’t take proactive steps to navigate the choppy waters.