Asset Management

The three biggest risks in global investing and how to avoid them

Populism, trade and currency: FN's sister-publication Barron's takes a look at the stocks fund managers are backing to weather the big macro challenges

The three biggest risks in global investing and how to avoid them
Photo: Kevin Van Aelst

The world looks a lot different than it did a year ago. In 2017, it was zipping along: Every major economy was growing, global markets were charging higher, and just about every asset class was rising in value.

But by this spring, the smooth sailing had given way to choppy waters, and a sea of new developments has left investors looking for direction.

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