Last year was a roller coaster ride for markets and we’re preparing for 2022 to be every bit as eventful, particularly from an investor’s perspective.
There are three key factors that will influence financial markets and the investments our investment managers may look to make. These are economic growth, inflation and interest rates.
To help shape our view of the long term and guide our approach to investing over the year ahead, we’ve identified five key issues we think are going to determine the outlook for economic growth, inflation and interest rates.
Find out more in our 2022 Investment Outlook.