Johan Larsson, chief strategist. 21-01-05 11:18 | Markets and investments | Economic outlook

After a strong rebound on easing election and vaccine concerns, some consolidation in risky assets is to be expected. However, we believe that investors should look past this and continue to treat dips as buying opportunities.

What does that mean for the investment strategy? Find out by reading the January edition of the Global Asset Allocation Strategy (pdf, 2 MB).

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Nordea Bank Abp published this content on 05 January 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 05 January 2021 11:27:00 UTC