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As covered in Aspect’s recent annual investor letter, 2022 was the first time since 1969, stock and bond markets together experienced significant declines. Throughout the year markets priced in the effects of entrenched inflation, reacted to aggressive central bank tightening, and became increasingly sensitive to a rapidly changing geopolitical landscape.
In our latest video, Anthony Todd, Aspect’s CEO and Co-founder shares his views on the coming year and beyond in markets, what the potential environment might mean for institutional investors, how alternatives should be looked at and how a transformational year like 2022 feeds into research at a systematic manager like Aspect.
Note: Any opinions expressed are subject to change and should not be interpreted as investment advice or a recommendation. Any person making an investment in an Aspect Product must be able to bear the risks involved and should pay particular attention to the risk factors and conflicts of interests sections of each Aspect Product’s offering documents. No assurance can be given that any Aspect Product’s investment objective will be achieved.