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Man Group’s Moniot on Rise of Credit Risk Sharing: Credit Crunch

FICC Focus

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Strategic Portfolio Management in Turbulent Times

This chapter explores strategic portfolio management amid regional economic challenges and sector crises, emphasizing the importance of long-term investment decisions. It reflects on past market crises, such as Brexit and the 2008 mortgage crisis, while discussing the need for proactive repositioning of portfolios to navigate risks and opportunities.

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