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Inflation and Asset Management
Central banks have raised the interest rates to counter increasing inflation, which brings concerns not only for consumers, but also financial investors.
The purpose of this paper is to introduce the general concept of inflation and focus on the main determinants of the one we are currently experiencing. Then, we illustrate what a typical asset management portfolio looks like. At last, we analyse how asset managers update their strategies in response to the changes in the level of inflation, and what is the rationale behind such behaviours.
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