The world has changed in ways no one could have imagined a few months ago. Yet amid all of today’s uncertainty, market opportunities await.
Join Transamerica Asset Management, Inc., CIO Tom Wald, CFA®, as he puts the past six months in perspective and looks ahead to the immediate future and beyond in the Transamerica 2020 Mid-Year Market Outlook Webcast.
Speaker:
Tom Wald, CFA®Chief Investment OfficerTransamerica Asset Management, Inc.
Tom Wald oversees investment and mutual fund development and the sub-adviser selection process. He heads Transamerica’s investment thought leadership with advisors, clients, and media. Tom has more than 25 years of investment experience. He has managed large mutual funds and sub-advised separate account portfolios. Tom holds a Bachelor’s degree in political science from Tulane University and an MBA in finance from the Wharton School at the University of Pennsylvania.
Investments are subject to market risk, including the loss of principal. Asset classes or investment strategies described may not be suitable for all investors. Past performance does not guarantee future results.
Fixed income investing is subject to credit rate risk, interest rate risk, and inflation risk. Credit risk is the risk that the issuer of a bond won’t meet their payments. Inflation risk is the risk that inflation could outpace a bond’s interest income. Interest rate risk is the risk that fluctuations in interest rates will affect the price of a bond.Investing in floating rate loans may be subject to greater volatility and increased risks.
Equities are subject to market risk meaning that stock prices in general may decline over short or extended periods of time.
Investments in global/international markets involve risks not associated with U.S. markets, such as currency fluctuations, adverse social and political developments, and the relatively small size and lesser liquidity of some markets. These risks may be greater in emerging markets.
Alternative investment strategies may include long/short and market neutral strategies; bear market strategies, tactical strategies (such as debt and/or equity: foreign currency trading strategies, global real estate securities, commodities, and other nontraditional investments).
The information included in this document should not be construed as investment advice or a recommendation for the purchase or sale of any security. This material contains general information only on investment matters; it should not be considered as a comprehensive statement on any matter and should not be relied upon as such. The information does not take into account any investor’s investment objectives, particular needs, or financial situation. The value of any investment may fluctuate. This information has been developed by Transamerica Asset Management, Inc. and may incorporate third-party data, text, images, and other content to be deemed reliable.
Comments and general market related projections are based on information available at the time of writing and believed to be accurate; are for informational purposes only, are not intended as individual or specific advice, may not represent the opinions of the entire firm and may not be relied upon for future investing. Investors are advised to consult with their investment professional about their specific financial needs and goals before making any investment decisions.
Transamerica Asset Management, Inc. is an SEC-registered investment adviser. The funds advised and sponsored by Transamerica Asset Management, Inc. include Transamerica Funds, Transamerica Series Trust and DeltaShares® exchange-traded funds. Transamerica Asset Management, Inc., is an indirect wholly owned subsidiary of Aegon N.V., an international life insurance, pension, and asset management company.
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