Duff & Phelps Investment Management
Global REIT market discussion with the Duff & Phelps Real Estate Portfolio Management Team, Geoffrey Dybas, CFA, and Frank Haggerty, CFA.
Newfleet Asset Management
Roundtable discussion with Newfleet fixed income investment professionals: Ben Caron, CFA, Multi-Sector Portfolio Manager; Steve Hooker, CFA, Managing Director of Foreign Research; and Frank Ossino, Bank Loan Sector Head. Moderated by Joe Terranova, Virtus' Chief Market Strategist.
The UK’s vote to leave the European Union (EU) has put the spotlight on the interplay between politics and financial markets. As political risk increases across Europe and the U.S., investors may need to rethink the concept of safe havens.
European real estate prospects remain encouraging, despite heightened political risk and more uncertainty, says Monika Sujkowska, Analyst, Real Estate Investment Strategy and Research, at Aviva Investors.
Virtus Chief Market Strategist Joe Terranova and Director of Investment Education Brian Portnoy, Ph.D., CFA discuss current happenings in the global markets.
Past performance is not a guarantee of future results.
Virtus Investment Partners provides this communication as a matter of general information. The opinions stated herein are those of the author and not necessarily the opinions of Virtus, its affiliates or its subadvisers. Portfolio managers at Virtus make investment decisions in accordance with specific client guidelines and restrictions. As a result, client accounts may differ in strategy and composition from the information presented herein. Any facts and statistics quoted are from sources believed to be reliable, but they may be incomplete or condensed and we do not guarantee their accuracy. This communication is not an offer or solicitation to purchase or sell any security, and it is not a research report. Individuals should consult with a qualified financial professional before making any investment decisions.