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EM Risk Analysis Cathy Hepworth, Head of EM Debt at PGIM Fixed Income, explains how investors can assess geopolitical risk in EMs.
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Rationality Trap Mehill Marku, Lead Geopolitical Analyst at PGIM Fixed Income, discusses why investors must avoid complacency in an uncertain environment.
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U.S. Debt George Patterson, CIO of PGIM Quantitative Solutions, discusses the fiscal challenges facing the US.
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U.S. Election Risk James Sonne, Head of Government Affairs at PGIM, discusses the US election outlook and its impact on investors.
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European Policy Taggart Davis, VP of Government Affairs at PGIM, explains the economic challenges facing European policymakers amid a busy election year.
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Risk Tolerance Guillermo Felices, Global Investment Strategist at PGIM Fixed Income, explores how investors can hedge portfolios against risk.
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Market Volatility Robert Tipp, Chief Investment Strategist and Head of Global Bonds at PGIM Fixed Income, discusses the need for liquidity during times of market volatility.
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Trade Flows Magdalena Polan, Head of EM Macroeconomic Research at PGIM Fixed Income, explains why select countries will benefit from shifting trade flows.
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Risk Tolerance Manoj Rengarajan, Portfolio Manager at PGIM Quantitative Solutions, discusses the overlap between the macro environment and investors' risk tolerance.
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Liquidity Risk John Hall, Portfolio Manager at PGIM Quantitative Solutions, explains why institutions' time horizon and liquidity needs are crucial when managing volatility.
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Asset Allocation Mao Dong, Co-Head of Portfolio Management at PGIM Multi-Asset Solutions, discusses the key elements to a well-diversified investment strategy.
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