Traditional risk and return assumptions relying on pre-pandemic data are not suited for the economic and market environment ahead. To solve for the next decade’s asset allocation, members of our Multi-Asset Strategies team took on the challenging proposition of forecasting interest rates.
During this webcast, the team discusses the five “super factors” they believe will influence the level of interest rates going forward. Analyzing these factors alone and in combination led to five scenarios for inflation, growth, and interest rates. Each potential economic future implies an alternate investment multiverse.
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The opinions expressed are those of American Century Investments (or the portfolio manager) and are no guarantee of the future performance of any American Century Investments' portfolio. This material has been prepared for educational purposes only. It is not intended to provide, and should not be relied upon for, investment, accounting, legal or tax advice.