Investment strategy and portfolio management during the oil crash and Covid-19
Speaker: Fabio Scacciavillani, Chief Strategy Officer, Oman Investment Fund (2011-2019), Chief Economist, NuVerse Advisors and Advisor to Libya Investment Authority (Present)
Covid-19 has shaken global stock markets as they react to severe global value chain disruptions and an unprecedented oil price drop. For investors, questions remain over the best strategy to ride this wave of volatility. Fabio Scacciavillani, former chief strategy officer of the Oman Investment Fund (2011-19), discusses the pandemic’s implications for asset managers and how investors can respond to the restructuring of value chains.