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Webinars • Gold, Equities & Fixed Income: Key Market Shifts Explained
Stay ahead of the curve with our latest insights on global markets. February has been a period of heightened volatility, significant market corrections, and dynamic shifts in asset allocation. In this webinar, we analyse these trends and explore how our multi-asset fund strategies are positioned in response.
Recent corrections and uncertainty in U.S. markets
The ongoing strength of the U.S. labor market and consumer spending
"American exceptionalism" and its impact on global market capitalization
How we swiftly reduced equity risk and increased fixed income exposure
The role of gold in managing market uncertainty
How dynamic asset allocation helps us stay aligned with benchmarks
Managing high volatility and market drawdowns
Why uncertainty creates long-term investment opportunities
Positioning yourself for future market rebounds
Market volatility can be challenging, but it also presents opportunities. Watch this webinar to learn how to position yourself for the long-term and capitalize on future growth.
Book a free consultation today to discuss your financial strategy with our expert team.
Omer Chowdhry
Head of Global Fixed Income and Multi Asset Strategies
Omer Chowdhry is an experienced portfolio manager with over a decade of portfolio management and trading experience, with considerable expertise covering Global Fixed Income Markets and Equities. Prior to joining Aditum in April 2021, Mr. Chowdhry spent 5 years at Union National Bank as AVP and Manager in their Treasury and Investment Department. He also spent 5 years as Senior Equity Trader at T3 Trading Group, New York.
Mr. Chowdhry holds a BSc Mathematics from University of Michigan at Ann Arbor and MBA from Cornell University.
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