Tariff mayhem and swirling volatility in global markets had the prospect of strong super fund returns in doubt just a few months ago, but surging equity markets, high-performing real assets, and strategic portfolio management have helped steady the ship and deliver strong financial year performance.
Tune in to hear:
- The latest on ASIC’s recent activities and its industry funding levy estimate.
- How geopolitical events and market volatility have impacted returns.
- What the funds that have reported so far have to say about diversification, active management, and global positioning strategies.
- Whether CBA’s impressive performance is set to continue or if it will fall back to earth.