

Tariffs turmoil: what’s next for investors?
The announcement of President Trump's tariffs has had a significant impact on global financial markets, leading to historically elevated volatility and severe market uncertainty. While these Trump tariffs have sparked sell-offs across asset classes, market moves like these usually also create opportunities.
Watch this webinar in which our investment experts discuss the current market volatility and strategies for resilient portfolio growth.
In this webinar:
Macroeconomic perspective: Senior Strategist, Martin van Vliet – zooms in on the factors driving current market fluctuations and their potential implications.
Credit strategies: Matthew Jackson, Portfolio Manager – discusses the impact of potentially wider credit spreads.
Global equity strategies: Portfolio Manager, Michiel Plakman – shows how to identify resilient companies with strong fundamentals and long-term growth potential.
Conservative equity strategies: Portfolio Manager, Jan Sytze Mosselaar – explains how low-volatility stocks offer a parachute in times of significant market downturns.
This webinar provides an in-depth analysis of the current market volatility, discusses possible scenarios for the short term and potential opportunities to profit from the indiscriminate selling in the markets.