Goodbody Investor Summit 2022

The 2022 Goodbody Investor Summit provided an opportunity for investors to step away from the noise and volatility of financial markets and focus on some of the key building blocks of a long-term investment strategy. Beyond core allocations to benchmark equity and bond indices, there are a number of important strategies, including private equity and real estate, which can seek to enhance long-term expected returns, diversify portfolio risks, enhance local and global sustainability, or some combination of all three.

Watch back presentations from our most favoured strategies that Goodbody offers in-house or through exclusive investment partnerships across private markets, real estate and public markets and the key trends shaping the economic and investment landscape.

Q&A with Goodbody Chief Economist, Dermot O'Leary

BlackRock Private Equity Partners

Goodbody Asset Management

IPUT Real Estate

CBRE Investment Management

Best 8 from Goodbody Active Trading

Goodbody Investor Summit 2022: Key takeaways

Our Latest Wealth Insights

Wealth Matters, Q2 2022: Sentiment, fundamentals and expectations

Apr 8, 2022, 09:57 AM by Telerik.Sitefinity.DynamicTypes.Model.Authors.Author
In this issue of Wealth Matters, we present reflect on the turbulence in financial markets and explore the financial attractions of a retirement abroad.

In our latest edition of Wealth Matters, Joe Prendergast, Global Strategic Advisor, examines the turbulence in financial markets amid high inflation, interest rate concerns and the war in Ukraine.

“Equities have rebounded, supported by earnings fundamentals, but elevated valuations and higher bond yields suggest some rebalancing of equity weights in portfolios is now warranted,” he explains.

Other highlights in this edition include:

  • Martin O’Hora, Director, Goodbody Pensioneer Trustees, explores the financial implications of retiring abroad.
  • Chief Investment Officer Bernard Swords explains why the rebound in equity markets in March may provide a favourable opportunity to rebalance portfolios.  
  • Niamh O’Leary, Investment Analyst, examines the risks from the inflation factor and its potential impact on bond markets and beyond. 

For a comprehensive picture of our views, read the full report below or click here to view the report in your browser. 

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