Europe’s investment landscape is undergoing a structural shift. After a standout year marked by renewed industrial policy, strategic autonomy, and increased capital deployment, investors are now asking whether the forces that powered last year’s surge can persist into 2026, and how best to position portfolios for what comes next.
In partnership with HANetf and VettaFi, this webinar will examine the macro, policy, and sector-level dynamics underpinning Europe’s resurgence, offering investors and issuers a forward-looking assessment of where opportunities are emerging and how they can be accessed efficiently through ETFs.
The discussion will explore the key drivers behind last year’s rally and assess why many of these tailwinds remain firmly in place heading into 2026. Our expert panel will also examine how investors can target the sectors most likely to benefit from Europe’s renewed momentum, while addressing the risks, valuation considerations, and implementation challenges that come with allocating to this evolving theme.
Join us for a practical, insight-led discussion designed to equip investors and ETF issuers with the tools and perspectives needed to navigate Europe’s next phase of growth.