The global macroeconomic and geopolitical environment is filled with risks around inflation, interest rates, and instability in the Middle East. Paul Diggle and Luke Bartholomew discuss how scenario analysis can help investors to navigate uncertainty. They also consider the Bernanke review of the Bank of England’s forecasting process, which includes a recommendation to make greater use of scenarios.
Information
- Show
- FrequencyUpdated weekly
- Published18 April 2024 at 07:00 UTC
- Length26 min
- RatingClean