Does fundamental and macro based investing have a future?
Volatility, market behaviour and cross-asset reactions are increasingly more difficult to predict. Even more so with the movement in politics and influence of systematic strategies. In this context, Societe Generale is helping clients understand their short and medium term positioning through a number of approaches, including:
- Liquidity risk premium positioning in portfolio construction
- Managing a wider distribution of outcomes through the use of derivatives
- Coping with short term market volatility through an increase in the average maturity of trades
Find out how to make Markets work in your favour through the expertise of our Global Markets team, for all your investment and hedging needs*.
(*The value of your investment can go up or down)
Contact one of our experts