How Does COVID-19 Impact the Outlook for Financial Markets?

Professor Campbell Harvey discusses how to navigate the investment environment

Finance

Amidst the pandemic, investing is more confusing than ever. Equity markets are pricing in a “V”-shaped recovery, bond markets believe that the risk of inflation is non-existent, and $11.6 trillion of global government bonds have negative yields while the price of gold is nearing an all-time high. Finance professor Campbell Harvey explains how to navigate the current investment environment and what to expect in the years to come.

This story may not be republished without permission from Duke University’s Fuqua School of Business. Please contact media-relations@fuqua.duke.edu for additional information.

Contact Info

Contact Info For more information contact our media relations team at media-relations@fuqua.duke.edu