E93 – Election Outcomes: How to Position Your Portfolio

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With the federal election just around the corner, many investors are starting to re-evaluate the political risks in their portfolios. To this end, Kevin Prins, Alfred Lee and Chris McHaney explore the potential for a minority government, and what it could mean for positioning the Canadian side of an investment portfolio. Our experts also discuss the prospect of higher US corporate taxes, whether the current volatility is seasonal or cyclical, and how inflation concerns can be eased on both the fixed income and equity sides of the portfolio.

Read the episode summary.

Kevin Prins is the Head of ETF & Managed Account Distribution at BMO Global Asset Management. He is joined on the podcast by Chris McHaney and Alfred Lee, both Portfolio Managers and ETF Specialists at BMO Global Asset Management. The episode was recorded live on September 15, 2021.

Fixed Income ETFs mentioned in the podcast:

Equity ETFs mentioned in the podcast:

Disclosures:

The viewpoints expressed by the Portfolio Manager represent their assessment of the markets at the time of publication. Those views are subject to change without notice at any time without any kind of notice. The information contained herein is not, and should not be construed as, investment, tax or legal advice to any party. Investments should be evaluated relative to the individual’s investment objectives and professional advice should be obtained with respect to any circumstance. Any statement that necessarily depends on future events may be a forward-looking statement. Forward-looking statements are not guarantees of performance.

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