Capital market assumptions

Translating portfolio theory into real-world solutions for investors

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Your expanded line of sight

Capital market assumptions (CMAs) form the foundation of our strategic and tactical asset allocation decisions. With an eye on over 170 asset classes across private and public markets in 20 different currencies, we maintain a comprehensive view of trends, risks, and correlations. This expansive insight allows us to drill down and offer unique perspectives that more narrow observations may miss, so we can help investors identify underlying drivers of return across asset classes.

2022 long-term capital market assumptions

Read the latest update to forecasted risk and return expectations.
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2022 capital market assumptions update

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