Global financial markets have had a bumpy ride so far this year as a combination of rising inflation, a series of rate hikes and hawkish guidance from central banks across the world — despite the associated recessionary risks — weighed on assets. Abdul Davids (head of research for Camissa Asset Management) recommends that investors focus on the long term and use the prevailing market volatility as a good opportunity to build their portfolios. Written by Lindiwe Tsobo.
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