After Tough 2022, Financial Markets Remain Challenged by Multiple Threats

Midyear 2023 Investment Outlook

Date:

Author: Funds Society, Miami

Contributing factors making the near term uncertain include stubborn inflation, despite some recent slowing, tightening financial conditions and higher interest rates, a risk of recessions in many developed markets and reduced lending after the failure of several U.S. regional banks

Labor markets remain strong and are an important signal for investors to watch as any softening could increase the risk of a recession

Bonds, which suffered badly in 2022 alongside stocks, present potentially attractive opportunities in high yield, bank loans, and sovereign and local currency debt in certain emerging markets