P&I Op-Ed: Navigating crises from a multiasset perspective

The market havoc wrought by the COVID-19 crisis stands apart from all but a handful of events over the past century, including the Great Depression, the crash of 1987 and the global financial crisis. In such extreme environments, strategies that survived or even thrived in other climates may suffer ruinous losses.

In this op-ed, Ilya Figelman and Seth Weingram discuss lessons learned from a systematic global macro perspective to help investors successfully navigate crises.

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