2019 Year in Review Masterclass

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  • 45 mins 14 secs

2019 has been a year dominated by geopolitical uncertainty from factors ranging from Brexit to Trump and trade wars, but how have markets reacted? Discussing some of the surprise stories of the year, and outlining what to look out for in 2020, we are joined by:

  • Alastair Irvine, Product Specialist, Jupiter Independent Funds Team, Jupiter Asset Management
  • Julian Chillingworth, Chief Investment Officer, Rathbones
  • Yoram Lustig, Head of Multi-Asset Solutions, T. Rowe Price
  • Learning outcomes:

    By the end of this video, you will be able to understand and describe:

    • Where the main risks and rewards lie in equity and bond markets for 2020
    • The long-term implications of very low interest rates and negative yields on government bonds
    • How fund managers are thinking about political risk