As we move through the second half of 2025, markets are balancing resilient economic data against elevated geopolitical risk, inflation concerns and an uncertain Fed path. With volatility persisting across asset classes and policy clarity still elusive, investors need a clear, tactical framework for positioning portfolios with purpose. Join WisdomTree for an in-depth discussion on where we see opportunities across fixed income and equity markets. The session will also explore how evolving geopolitical developments are influencing investor sentiment, policy direction, and asset allocation decisions.
Topics include:
Head of Fixed Income Strategy
Head of Equity Strategy
Macro Strategist, Model Portfolios