2022 Portfolio Manager Round Table: What’s Next for Markets

17 February 2022
56 min watch

Volatility across both fixed-income and equity markets has meaningfully re-emerged in 2022. Drivers include inflation rising at its fastest pace since the 1980s, a more hawkish Fed and an equity sell-off that started in expensive areas of the stock market, particularly in the US. The combination has left investors wondering what’s next. Watch 2022 Portfolio Manager Round Table webcast to hear from AB fixed-income and equity experts.


About the Authors