In this short video, Joe Davis, Vanguard’s global chief economist, discusses volatility in the financial sector sparked by two recent bank failures and shares his views on inflation and central bank policy.
Jumana Saleheen, Vanguard European chief economist, explores how the big macroeconomic and market themes have shifted over the past year and how they could determine the course of investment markets over 2023.
With a global recession approaching, we explore some of the key themes to help your clients maintain discipline and stay focused on their long-term goals.
Rising interest rates to combat persistently high inflation, coupled with geopolitical shocks and slowing economic growth, led to substantial equity market volatility in 2022. The silver lining is that 2022’s bear market has improved our outlook for global equities.