This is a sponsored article from DNCA Investments (an affiliate of Natixis Investment Managers).
Will 2025 see a shift from equities to bonds? Three minutes with DNCA’s Daniel Claringbull on his outlook and the four macro factors to watch this year.
Daniel Claringbull, global product manager at DNCA Investments (an affiliate of Natixis Investment Managers), shares his perspectives on the key macroeconomic themes that will shape 2025. Emphasising the pervasive uncertainty across global markets, he discusses the potential impacts of geopolitical tensions, inflationary pressures and central bank policies on fixed income investments.
To find out more about what sets DNCA’s fixed income investing apart, watch the first in our video series with CEO Eric Franc, where he shares the firm’s history and fundamental values, areas of growth across the globe and Asia and his view on the future of active management.
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