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Webinar – Navigating Volatility in 2022

Date: 03 Feb, 2022

Watch Brompton Chief Investment Officer, Laura Lau, and Head of Distribution, Steve Allen, discuss the current market environment and share their recommendations for income opportunities.


CE Credits: Navigating Volatility in 2022

Continuing Education credits are available for viewers of this webinar. Complete the short quiz to earn CE credits. Passing grade: 3/5 (60%)

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Equity market returns 6- and 12-months post initial Fed rate hike are typically:
Goldman Sachs, (as at January 28, 2022), expects ________ U.S. Fed rate hikes in 2022.
Healthcare is unique because it is positioned as a ______________.
Canadian and European equities have ________________ relative to U.S. and global equities.
As of the recording date, Brompton European Dividend Growth ETF (EDGF) has a _________ Morningstar rating.

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