The EPFR Exchange Podcast

Episode 88: Risk and Reward in Late March


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Director of Research, Cameron Brandt and Host, Kirsten Longbottom dive into the short-term impact from the Russia-Ukraine conflict on energy prices and how investors are viewing the war as a Europe-based issue as opposed to a global one. In the final week of March investors quickly returned to China Equity Funds, but the risks surrounding this asset class have been building up for a while. More on the Sector Fund universe and Bond Funds which ended an 11-week outflow streak. 

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The EPFR Exchange PodcastBy Kirsten Longbottom & Cameron Brandt

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