The U.S. stock market soared in 2024, while the global fixed income markets offered plenty of opportunities for discerning active managers. With Trump 2.0 poised for sweeping reforms and the Federal Reserve eyeing fewer rate cuts this year than expected, should investors turn up the risk dial or pull back into a more defensive posture?

Join us for a half-day webinar featuring insights on the path forward from our portfolio managers and sub-advisors. You will learn where they are seeing attractive opportunities and how they are positioning their funds for 2025 and beyond.