While the Covid-19 pandemic has waxed and waned, geopolitical unrest persists and uncertainty remains on the economic horizon. Persistent inflation and other macroeconomic factors are impacting financial markets, with implications for investment portfolios. Get the latest economic forecast and insights on protecting your portfolio from ripple effects of the current environment.
Mr. Crescenzi is an executive vice president, market strategist and generalist portfolio manager in the New York office. He is also a member of the Investment Committee. Prior to joining PIMCO in 2009, he was chief bond market strategist at Miller Tabak, and worked for both Lehman Brothers and Prudential Bache. Mr. Crescenzi has written six books, including “The Strategic Bond Investor” and “Beyond the Keynesian Endpoint.” He regularly appears on CNBC and Bloomberg television and in financial news media. Mr. Crescenzi taught in the executive MBA program at Baruch College from 1999-2009. He has 38 years of investment experience and holds an MBA from St. John’s University and an undergraduate degree from the City University of New York.
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