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J.P. Morgan emerging market strategy quarterly review

George Iwanicki, our dedicated Emerging Market (EM) Equity Strategist, will host his regular EM Strategy webconference which draws heavily on the discussions we have in the Emerging Market and Asia Pacific Equities Team in weekly macro calls, monthly asset allocation meetings and the output of proprietary top down models. The presentation will cover both the strategic, long-term asset allocation opportunities as well as key ideas from our tactical models.

Don't miss this opportunity to hear from our emerging market specialist and put forward your questions.

If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

Password: 45840


United Kingdom Local Call: +44 (0) 844 581 9089
Austria: +43 (0) 2 68220 56552
Belgium: +32 (0) 2 789 8603
Denmark: +45 3271 4573
Finland: +358 9 2319 5437
France: +33 (0) 1 7037 7166
Germany: +49 (0) 69 7104 45598
Hungary: +36 (06) 1 700 8142
Ireland: +1 800 930 488
Italy: +39 02 36269665
Netherlands: 0207948426
Norway: 21563318
Poland: +48 22 397 9053
Portugal: +351 3 0880 2081
Spain: +34 91 787 0777
Sweden: +46 (0) 8 50520424
Switzerland: +41 (0) 22 592 7103
Standard International dial: +44 (0) 20 3003 2666
Recorded Oct 20 2016 40 mins
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Presented by
George Iwanicki
Presentation preview: J.P. Morgan emerging market strategy quarterly review
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  • JPMorgan Investment Funds - Global Macro Opportunities Fund Dec 8 2016 10:00 am UTC 60 mins
    James Elliot & Shrenick Shah
    Please join James Elliot (Chief Investment Officer for Multi-Asset Solutions International) and Shrenick Shah—portfolio managers for the Global Macro strategy—as they provide an update on the macro environment, and the positioning and performance for the strategy’s flagship fund, Global Macro Opportunities Fund.

    The fund aims to deliver positive returns over the medium term by capitalising on trends and changes in the global macro environment. Using a research-driven approach, the fund leverages the expertise of an experienced team of portfolio managers and strategists, whose macro views are reflected across a set of traditional and sophisticated strategies.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 45852


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • The Election Phenomenon: Uncertainty meets Opportunity? Recorded: Nov 16 2016 62 mins
    Anton Pil, Steven Lear, Lee Spelman, & John Bilton (Host)
    A week after the U.S. Election, our CIOs have now had time to assimilate the results of the election and thoughtfully consider the investment implications of President-elect Trump, a republican house and republican Senate.

    Password 50202

    Spain 800 300206

    France 0805 630061

    Germany 0800 673 7932

    Italy 800 986 477

    Luxembourg 800 2 6438

    The Netherlands 0 800 022 9132

    Belgium 0800 746 68

    Sweden 020 089 6377

    Norway 800 19 457

    Denmark 8088 8649

    Finland 0800 914672

    U.K. +44 (0) 844 581 9089
  • JPMorgan Investment Funds - Global Macro Opportunities Fund Recorded: Nov 10 2016 50 mins
    James Elliot, Shrenick Shah and Mark Richards
    Please join James Elliot (Chief Investment Officer for Multi-Asset Solutions International) and Shrenick Shah, Portfolio Managers for the Global Macro Opportunities Fund, and Mark Richards, Global Strategist in the Global Multi-Asset Strategy Team for an update on the macro environment, our positioning and performance.

    The Global Macro Opportunities Fund aims to capitalise on global macroeconomic trends to drive returns using a dynamic, multi-asset approach that aims to deliver positive returns in different market environments. The fund capitalises on the expertise of an experienced team of investors, who reflect their macro views by investing flexibly across asset classes using a selection of traditional and sophisticated investment strategies.

    Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 45850


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • US election results & implications Recorded: Nov 9 2016 62 mins
    Stephanie Flanders & Dr. David Kelly
    Stephanie Flanders, Chief Market Strategist for UK & Europe, is joined by our Chief Global Strategist in New York, Dr. David Kelly, to discuss the US election results and the implications for investors and global markets.

    If you prefer to listen the live event over the telephone please use the appropriate dial in details from the numbers below.

    Password: 49078

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • 2017 Long-Term Capital Market Assumptions Recorded: Oct 27 2016 57 mins
    John Bilton, Stephanie Flanders, Stephen Macklow Smith, Jonathon Griggs
    Now in its 21st year of publication, the Long-Term Capital Market Assumptions (LTCMA) provides our annual assessment of the long-term outlook across all major asset classes and markets over the next 10 to 15 years. Many investors rely on J.P. Morgan's LTCMA's time-tested projections to help build stronger portfolios.

    Join John Bilton, Head of Global Multi-Asset Strategy, Stephanie Flanders, Chief Market Strategist for the UK and Europe, Stephen Macklow-Smith, Portfolio Manager, European Equity Group, and Jonathan Griggs, Director of Applied Research for our Global Fixed Income, Currency & Commodities Group, as they share highlights and themes from the report, and how our LTCMA can empower better decisions.

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 48866


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • JPM Global Income Fund Recorded: Oct 25 2016 42 mins
    Michael Schoenhaut
    Please join Michael Schoenhaut, Portfolio Manager in the Multi Asset Solutions team, for a review of the strategy, current positioning and the outlook.

    The Global Income strategy aims to exploit income opportunities from across the full range of asset classes, across the capital structure and to provide global diversification in both developed and emerging markets. It pursues a flexible allocation strategy to access the most attractive risk adjusted yield and invests in a broad range of opportunities to ensure income is distributed efficiently to meet the needs of yield-orientated investors.

    Don't miss this opportunity to put forward your questions.

    Featured fund: JPMorgan Investment Funds – Global Income Fund

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 45841


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • J.P. Morgan emerging market strategy quarterly review Recorded: Oct 20 2016 40 mins
    George Iwanicki
    George Iwanicki, our dedicated Emerging Market (EM) Equity Strategist, will host his regular EM Strategy webconference which draws heavily on the discussions we have in the Emerging Market and Asia Pacific Equities Team in weekly macro calls, monthly asset allocation meetings and the output of proprietary top down models. The presentation will cover both the strategic, long-term asset allocation opportunities as well as key ideas from our tactical models.

    Don't miss this opportunity to hear from our emerging market specialist and put forward your questions.

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 45840


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • Looking ahead to the US election Recorded: Oct 13 2016 44 mins
    Stephanie Flanders & Dr. David Kelly
    Stephanie Flanders, Chief Market Strategist for UK & Europe, is joined by our Chief Global Strategist in New York, Dr. David Kelly, to discuss the upcoming US election and potential implications to the global markets.

    If you prefer to listen the live event over the telephone please use the appropriate dial in details from the numbers below.

    Password: 49074

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • JPMorgan Investment Funds - Global Macro Opportunities Fund Recorded: Oct 13 2016 47 mins
    Shrenick Shah, Thushka Maharaj and Mark Richards
    Please join Shrenick Shah, Portfolio Manager for the Global Macro Opportunities Fund, Thushka Maharaj and Mark Richards, Global Multi-Asset Strategists, for an update on the macro environment, our positioning and performance.

    The JPM Global Macro Opportunities Fund aims to capitalise on global macroeconomic trends to drive returns using a dynamic, multi-asset approach that enables investors to participate in market rallies, while limiting exposure in periods of market correction. The fund capitalises on the expertise of an experienced team of macro and total return investors, who reflect their latest views macro views by investing flexibly across asset classes using a selection of traditional and sophisticated investment strategies.

    Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 45838


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • 4Q 2016 Global Fixed Income Views with Bob Michele Recorded: Sep 29 2016 45 mins
    Bob Michele, Felipe Illanes, Priscilla Hancock (moderator)
    Join Bob Michele, CIO, for his quarterly review of the fixed income markets and his team's best investment ideas for the near term.
  • Quarterly EMD Total Return Strategy Recorded: Sep 27 2016 38 mins
    Pierre-Yves Bareau
    Please join Pierre-Yves Bareau, the CIO for our Emerging Markets Debt Team within the International Fixed Income Group, for a discussion on our outlook for emerging markets debt as well as recent performance and positioning in JPMorgan Funds – Emerging Markets Strategic Bond fund, where Pierre-Yves is the lead portfolio manager.

    Don’t miss this opportunity to hear from our Emerging Market Debt CIO and put forward your questions.

    Featured Fund: JPMorgan Funds – Emerging Markets Strategic Bond Fund

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 45836

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • CIO Perspectives: 4Q Asset Allocation Views Recorded: Sep 22 2016 63 mins
    John Bilton, Jeff Geller, Dr. David Kelly, & Joe Steccato (Host)
    Macro discussion followed by 4Q asset allocation views.
  • JPMorgan Investment Funds - Global Macro Opportunities Fund Recorded: Sep 8 2016 33 mins
    Shrenick Shah, Talib Sheikh
    Please join Shrenick Shah and Talib Sheikh, portfolio managers for the Global Macro Opportunities Fund, for an update on the macro environment, our positioning and performance.

    The Global Macro Opportunities Fund aims to capitalise on global macroeconomic trends to drive returns using a dynamic, multi-asset approach that enables investors to participate in market rallies, while limiting exposure in periods of market correction. The fund capitalises on the expertise of an experienced team of macro and total return investors, who reflect their latest views macro views by investing flexibly across asset classes using a selection of traditional and sophisticated investment strategies.

    Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 45832


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • JPM Global Macro Opportunities Fund Recorded: Aug 11 2016 40 mins
    Shrenick Shah, Mark Richards
    Please join Shrenick Shah, Portfolio Manager for the Global Macro Opportunities Fund, and Mark Richards, Global Strategist in the Global Multi-Asset Strategy Team, for an update on the macro environment, our positioning and performance, for an update on the macro environment, our positioning and performance.

    The Global Macro Opportunities Fund aims to capitalise on global macroeconomic trends to drive returns using a dynamic, multi-asset approach that enables investors to participate in market rallies, while limiting exposure in periods of market correction. The fund capitalises on the expertise of an experienced team of macro thematic investors, who reflect their latest views macro views by investing flexibly across asset classes using a selection of traditional and sophisticated investment strategies.

    Don’t miss this opportunity to put forward your questions and hear from the portfolio management team.

    Focus fund: JPMorgan Investment Funds - Global Macro Opportunities Fund

    Password: 45812


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • J.P. Morgan Market Insights with Stephanie Flanders (Q3 2016) Recorded: Jul 13 2016 34 mins
    Stephanie Flanders, Chief Market Strategist UK and Europe
    Join Stephanie Flanders, chief market strategist for UK and Europe, as she provides a timely and interactive market update in her upcoming Quarterly Market Insights webconference and answers your questions about the issues that matter to you.

    Held immediately after quarter-end, Stephanie explores the key trends and themes that have been shaping global markets, and outlines the conversations you need to be having with clients in the months ahead.
  • J.P. Morgan emerging market strategy quarterly review Recorded: Jul 7 2016 50 mins
    George Iwanicki
    George Iwanicki, our dedicated Emerging Market (EM) Equity Strategist, will host his regular EM Strategy webconference which draws heavily on the discussions we have in the Emerging Market and Asia Pacific Equities Team in weekly macro calls, monthly asset allocation meetings and the output of proprietary top down models. The presentation will cover both the strategic, long-term asset allocation opportunities as well as key ideas from our tactical models.

    Don't miss this opportunity to hear from our emerging market specialist and put forward your questions.

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 45805


    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Hungary: +36 (06) 1 700 8142
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Poland: +48 22 397 9053
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • Fixed Income Focus with Bob Michele Recorded: Jun 29 2016 44 mins
    Bob Michele, Peter Aspbury, Priscilla Hancock (moderator)
    Join Bob Michele, CIO, for his quarterly review of the fixed income markets and his team's best investment ideas for the near term.
  • Post-Brexit asset panel discussion Recorded: Jun 29 2016 52 mins
    John Bilton, Nicholas Gartside, Stephen Macklow-Smith and Tilmann Galler
    Join three of our most senior investment professionals for their expert perspective on what the UK referendum result means for their specific asset classes—and for their positioning and strategy in the post-Brexit investment landscape.

    In this webconference, moderated by Tilmann Galler, Global Market Strategist, Market Insights, John Bilton, Head of Multi-Asset Strategy, examines the implications for the multi-asset space, while Stephen Macklow-Smith, Portfolio Manager, European Equity Group, takes a closer look at the impact on equities, and Nicholas Gartside, International CIO of the Global Fixed Income, Currency & Commodities (GFICC) Group, shares his own unique insights into the fixed income world.

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 47725

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • Quarterly EMD Total Return Strategy Recorded: Jun 28 2016 33 mins
    Pierre-Yves Bareau
    Please join Pierre-Yves Bareau, the CIO for our Emerging Markets Debt Team within the International Fixed Income Group, for a discussion on our outlook for emerging markets debt as well as recent performance and positioning in JPMorgan Funds – Emerging Markets Strategic Bond fund, where Pierre-Yves is the lead portfolio manager.

    Don’t miss this opportunity to hear from our Emerging Market Debt CIO and put forward your questions.

    Featured Fund: JPMorgan Funds – Emerging Markets Strategic Bond Fund

    If you prefer to listen over the telephone please use the appropriate dial in details from the numbers below.

    Password: 45765

    United Kingdom Local Call: +44 (0) 844 581 9089
    Austria: +43 (0) 2 68220 56552
    Belgium: +32 (0) 2 789 8603
    Denmark: +45 3271 4573
    Finland: +358 9 2319 5437
    France: +33 (0) 1 7037 7166
    Germany: +49 (0) 69 7104 45598
    Ireland: +1 800 930 488
    Italy: +39 02 36269665
    Netherlands: 0207948426
    Norway: 21563318
    Portugal: +351 3 0880 2081
    Spain: +34 91 787 0777
    Sweden: +46 (0) 8 50520424
    Switzerland: +41 (0) 22 592 7103
    Standard International dial: +44 (0) 20 3003 2666
  • J.P. Morgan Post EU referendum results analysis Recorded: Jun 24 2016 48 mins
    Asset Management’s Stephanie Flanders, Chief Market Strategist UK & Europe; John Bilton, Head of Multi-Asset Strategy
    Following the referendum vote to determine if the United Kingdom will remain in the European Union or vote to leave, Stephanie Flanders, Chief Market Strategist for the UK and Europe, and John Bilton, Head of Multi-Asset Strategy, will lead a discussion focusing on analyzing the results of the referendum.

    Please join us for this informative session providing you with the opportunity to pose questions.


    The information discussed at this event is not intended to promote a particular outcome to any question asked regarding the UK Referendum on whether Britain should remain in or leave the European Union. J.P. Morgan Asset Management takes no political stance on this question.
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  • Title: J.P. Morgan emerging market strategy quarterly review
  • Live at: Oct 20 2016 2:00 pm
  • Presented by: George Iwanicki
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