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Markus JaegerGlobal Economy Analyst, RANE |
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Matthew BeySenior Global Analyst and Head of Methodology, RANE |
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Adriano BosoniDirector of Analysis, RANE |
When the Iran conflict triggered an energy shock earlier this year, many portfolio managers were caught flat-footed and are still assessing the ongoing impacts to economic growth, inflation, and supply chains.
In this volatile environment, incorporating geopolitical analysis and forecasts to identify emerging portfolio risks and investment opportunities has become a must have input for investors.
RANE analysts work directly with institutional investors to bridge the gap. Join us on June 23 to hear our analysts provide insights into the geopolitical risks and opportunities most likely to impact your portfolio in the second half of the year.
We’ll cover the signals that move markets and their impact beyond the headlines: ongoing conflicts, shifting trade alliances, secondary sanctions regimes, and supply route disruptions, among others.