Tariff Turmoil: Portfolio Managers Tackling New Trade Realities in Asia
US import tariffs and geopolitics pose challenges for portfolio fund managers—how are they responding?
Following the initial tariff announcements declared by US President Donald Trump in early April, global equity markets have swung wildly as investors fear for higher prices, increased geopolitical tensions, a potential global trade war and economic recession, and further stock losses. As the global trade dynamic evolves, how are fund managers responding? What could their responses mean for investors?
Our special report explores how portfolio managers are responding to the latest tariff developments and their impact across Asia markets.
Access our report to learn how to navigate stock market volatility with confidence.