It’s the End of the World as They Know It. And They Feel Fine.

After a decade of low interest rates, low volatility, and high investment returns, professional investors and institutional decision makers foresee plenty of risk on the horizon including geopolitical uncertainty, potential market spikes and asset bubbles, and the specter of rising interest rates.

In order to be better positioned for a changing market, respondents in the 2017 Natixis Global Survey of Institutional Investors appear to be making adjustments to allocation plans rather than a wholesale shift in portfolio strategy. Key investment trends include:


For the full findings on their outlook for 2018, download the complete report.

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Institutional Investor Outlook for 2018

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