On April 27 we were delighted to host the IIF Economics Team Presentation – Insurance and Asset Management Investment Considerations in a ‘New Normal’ Market Environment, which featured a presentation by IIF Deputy Chief Economist, Sergi Lanau.
- Global and regional growth outlook in the context of an uneven recovery
- The rise in US interest rates and what it means for markets
- Possible inflationary pressures from new government debt issuances, extraordinary COVID-19 relief measures and liquidity support to the debt markets
- Outlook for emerging markets and credit markets