The Implications of the Russia-Ukraine War across Asset Classes

This episode’s roundtable discussion features a deep dive into the Russia-Ukraine War from a fixed income, equity, and multi-asset perspective. George Bory, managing director for Fixed Income Strategy and Product Specialists for Allspring Global Investments, speaks with Ann Miletti, head of Active Equities, and Matthias Scheiber, global head of Portfolio Management for the Multi-Asset Solutions team.

Russia-Ukraine Special Edition: The Week That Was … The Week to Come

Brian Jacobsen provides perspective on the Russia-Ukraine war and other key topics of the current week—plus, his thoughts about what the week ahead may hold. Here’s his report for the week of March 26–April 1, 2022. Plus: There’s a recap of the first quarter’s key events.

Income Generation and the Russia-Ukraine War Through a Sustainability Lens

Himani Phadke, senior sustainable investing strategist; Kandarp Acharya, senior portfolio manager; and Sophie Careford, senior solutions analyst, discuss how Allspring is tackling the challenge of delivering dividend income while aiming to reduce climate risk and the risks of the Russia-Ukraine war.

Inflation and the Russia-Ukraine War: Effects on Portfolio Construction

Bryant VanCronkhite, managing director and senior portfolio manager for the Allspring Special Global Equity team, speaks with Christine Collins, investment strategies consultant, on how his team approaches portfolio construction as it relates to the Russian-Ukraine War, inflation, and other global factors.

Russia-Ukraine Special Edition: The Week That Was … The Week to Come

Brian Jacobsen provides perspective on the Russia-Ukraine conflict and other key topics of the current week—plus, his thoughts about what the week ahead may hold. Here’s his report for the week of March 12–18, 2022.