The ground began to shift under the feet of US equity investors in late 2021. Between stretched market valuations and a Fed that was playing catch-up in maintaining price stability, the market’s firm footing appeared less tenable as 2022 began. With geopolitical uncertainty now erupting onto the global stage, market terrain has become even more precarious. Where should investors focus in this complex and quickly changing market?
Please join T. Rowe Price Investment Analyst Katie Deal and Global Investment Specialist Chris Dillon for a discussion on what to expect next from fiscal and monetary policy in light of today’s geopolitical uncertainty, as well as asset allocation considerations within the current investment environment.