Market discounting low volatility at its peril, warn CIOs
The consensus is still that headline macro risks will trigger bouts of volatility in 2012, but if that’s not the case then portfolios are poorly positioned, argue Manulife AM’s global CIOs.

Most investors are not properly positioned for a low-volatility environment and will need to revamp their portfolios considerably if market fears remain unrealised, say global CIOs at Manulife Asset Management.
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