Global Asset Allocation Strategy: What will 2021 bring?

Johan Larsson, chief strategist.
20-11-30 12:52 | Markets and investments

After a strong rebound on easing election and vaccine concerns, some consolidation in risky assets is to be expected, our investment strategists write in the Global Asset Allocation Strategy for December.

Some consolidation in risky assets is to be expected. However, we believe that investors should look past this and continue to treat dips as buying opportunities.

What does that mean for the investment strategy? Find out by reading the December edition of the Global Asset Allocation Strategy (pdf, 2 MB)

Read more news

Showing 5 of 799 results

Light at the end of the tunnel? Get the Nordea Economic Outlook

Economic outlook

Register for the webinar, and receive the Economic Outlook released on 27 January.

Market outlook: What will 2021 bring? - update

Markets and investments Economic outlook

After a strong rebound on easing election and vaccine concerns, some consolidation in risky assets is to be expected.

Viktor Sonebäck and Johan Trocmé

2020 has been a turbulent year, fundamentally defined by the pandemic

Markets and investments Nordea podcasts

Viktor Sonebäck and Johan Trocmé from Nordea Thematics reflect back on the Nordea On Your Mind topics covered during the year.

Showing 5 of 799 results