The purpose of this Master Class is to understand the different effects of Fed´s Quantitative Easing (“QE”) on both the US economy and on its financial markets.
The Master Class will address the following topics:

– The essence of QE and other non-conventional Fed measures in recent years
– QE and financial markets
– QE and the US economy
– Fed exit strategies and portfolio strategies to match them

As the US economy is now giving signs of recovering in a more decisive way, investors are beginning to debate what will happen when the program is finally phased out and “hand-holding” by the Fed stops. Mr. Henrik Lumholdt, until recently Chief Investment Strategist for BBVA, one of Spain´s largest banks, will try to give insight on these issues.

Register for a MUST attend conference!

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