
Q2 2025 Update: Mirova Global Equity Funds
Natixis Insights
00:00
Intro
This chapter explores the tumultuous market conditions of the second quarter of 2025, characterized by significant volatility from global tariffs and military conflicts. It highlights the remarkable resilience of the S&P 500 amid these challenges and delves into the comparative performance of international equities, providing insights on evolving investment opportunities.
Transcript
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