Ukraine Crisis: Portfolio Perspectives

March 7, 2022

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Perspectives from London

Vanguard CEO Tim Buckley and Co-head of Emerging Markets Active Fixed Income, Nick Eisinger, discuss the impact of the war in Ukraine on emerging markets and how to manage the associated risk. They also discuss the monetary policy outlook ahead of the upcoming meetings of the US Federal Reserve and the European Central Bank.

Notes:

  • Past performance is not a guarantee of future results.
  • All investing is subject to risk, including the possible loss of the money you invest. Investments in securities issued by foreign companies and governments are subject to risks including country/regional risk and currency risk. These risks are especially high in emerging markets. Bond funds are subject to the risk that an issuer will fail to make payments on time, and that bond prices will decline because of rising interest rates or negative perceptions of an issuer's ability to make payments.
  • The information presented in this webcast is intended for educational purposes only and does not take into consideration your personal circumstances or other factors that may be important in making investment decisions. We recommend that you consult a tax or financial advisor about your situation.