Where next for inflation?

Generali Insurance Asset Management shares their investment insight for liability-driven investors in inflationary landscapes.

Markets are priced for disinflationary perfection and inflation-linked bond opportunities still have power, says Generali.

This article was produced by Generali Insurance Asset Management as part of their valued industry partnership with Insurance Investor.

Inflation is by far the most crucial investment consideration today, yet it’s not all bad news for long-term investors. In this paper, Generali Insurance Asset Management's Research, ESG, and Investment teams explain the factors that are currently impacting their inflation outlook, the dynamics behind resilient equity markets, why ESG and sustainable development is here to stay despite short-term price pressures, and where to find investment opportunities in today’s uncertain environment.

To read more, download the paper here.