The conflict in Ukraine has kicked off a tumultuous period in geopolitics and financial markets. The uncertainties over the duration and degree of the conflict have led the multi-asset team at BNP Paribas Asset Management to take a more cautious stance in its portfolios and reduce risk-taking.
Watch our asset allocation video with Maya Bhandari, head of multi-asset, and Daniel Morris, chief market strategist, as they discuss the portfolio adjustments as well as the outlook for rates and risk positioning.
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