Buffered Outcome ETFs: Participate in Markets, Prepare for 2022 Risk
In a market characterized by lofty stock valuations and record low rates, traditional stock/bond portfolios aren’t enough anymore to protect investors from increased risks. Buffered outcome ETFs can help investors stay invested, while positioning portfolios for any risk environment.
In this upcoming webcast, join Allianz Investment Management LLC and ETF Trends as we breakdown the components of Buffered Outcome ETF strategies and why now may be the right time to consider implementing them, as we transition to year-end and look to 2022.
Dave Nadig, CIO of ETF Trends and ETF Database, will moderate a discussion on:
- The year-end market outlook, as well as what 2022 may hold
- How AllianzIM’s Buffered Outcome ETFs compare to other common risk-mitigation strategies
- A guide to utilizing different outcome periods within a portfolio
- Use cases for how to implement Buffered Outcome ETFs within client portfolios
Accepted for one hour of CFP/CIMA CE credit for live and on-demand attendees
CFA Institute members are encouraged to self-document their continuing professional development activities in their online CE tracker.
Brendan Cavanaugh, CFAETF Product Specialist
Allianz Investment Management LLC
Charlie RipleyVP of Portfolio Management
Allianz Investment Management U.S. LLC
Dave NadigCIO, Director of Research
ETF Trends and ETF Database