8min chapter

Forward Guidance cover image

Adrian Helfert on Stock/Bond Allocation, Equity Broadening, and Credit Market Richness

Forward Guidance

CHAPTER

Navigating Credit and Duration Risks

Exploring adjustments made to investment strategy to capitalize on equity market potential, including considerations of default risk and interest rate sensitivity. Analysis of current financial conditions, emphasizing the impact of interest rates, equity valuations, and systematic risk indicators like the housing market resilience.

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