In This Issue
Recent central bank action has reinforced the “lower for longer” interest rate theme in global bond markets.
The latest leg up for the U.S. dollar has been driven by anticipation and arrival of QE by the ECB.
Allocating and managing portfolios successfully in today’s marketplace is difficult. There are many pitfalls along the way to complicate matters. As a result, investors and financial professionals need to be aware of the common mistakes that can be made when employing asset allocation so that they can avoid them.