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9th November 2016

Allianz Global Investors: Financial Darwinism: the evolution of risk management?

  • Periods of market volatility can see significant drawdown or investment losses.
  • The risk of heightened volatility in global markets is anticipated to rise in our outlook.
  • Diversification strategies can contribute to risk management, but extreme events need further strategies or tools.
  • UK investors can implement flexible, low-cost tools to reduce investment risks without jeopardising the upside returns or the Strategic Asset Allocation (SAA)

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