Beata Manthey, a Citi Global Equity Strategist, discusses a bearish outlook as the election approaches. Mike Wilson, Chief US Equity Strategist at Morgan Stanley, analyzes the differing impacts of potential election outcomes on growth and bonds. He suggests a Trump win could boost growth but hurt bonds, while a Harris victory might favor bonds at the expense of growth. Saira Malik, Chief Investment Officer at Nuveen, raises concerns about the possibility of a contested election, indicating heightened uncertainty for financial markets.