Professor Siegel, who teaches at the Wharton School of the University of Pennsylvania and regularly appears on CNBC, discusses the major current issues facing the global markets and the economy, how today’s environment fits into a longer-view historic context, the full impact of COVID-19, and more.
In the presentation, hear about:
• The impact of the COVID-19 crisis on stock and bond returns and the future of inflation
• Historic and current equity and bond market trends
• Money supply effect on the markets
• What PE rations can mean for returns
• The effects of government stimulus packages
• Death of traditional bond asset allocations
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