January 18, 2022
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1:08Now PlayingThe uncertainty created by resurgent inflation, changing Fed policy and the rapid postpandemic rebound in real GDP is set to reverberate throughout markets in 2022. And the inevitable turbulence may be amplified by investors attempting to adapt to a very new and unfamiliar environment. How might portfolio reallocation drive volatility in 2022? Presented by @cmegroup
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