The financial landscape is in a state of transition as we head into the final quarter of 2024, a year that has been marked as a historic election year by the World Economic Forum. With many global elections behind us and the U.S. election coming up, some political uncertainties are being removed, but challenges remain, particularly with inflation and interest rate adjustments across various economies. What’s next for private markets?
Anna Barath, Bite Investment’s Chief Investment Officer, and Justin Mason, Managing Director, provide an end-of-year update and discuss how the evolving political and economic climate could influence private market investments as we move into 2025.
Watch the video to find out more. Key topics include:
- Interest rate adjustments: How the recent moves in global interest rates could shape private markets
- Political outcomes: What the numerous elections, including the upcoming U.S. election, mean for global financial markets. Has uncertainty eased?
- Strategic asset allocation: Portfolio considerations for investors to try to capitalize on opportunities and mitigate risks
- End-of-year market trends: Key insights as we close out 2024