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'We’ll just tolerate the headlines': Why this fund manager remains risk-on despite the Iran conflict
George Boubouras of K2 Asset Management says markets are largely looking past the Iran conflict and that investors are staying firmly on risk-on mode as attention shifts to the medium-term economic outlook. He remains overweight U.S. and other developed market equities, arguing that corporate resilience can withstand the near-term inflation shock from higher oil prices.
05:09
Fri, May 8 202612:00 AM EDT







