Global Perspectives: Navigating Institutional Portfolios Through Market Cycles and Disruption – The JP Morgan Approach

How can institutional investors position portfolios for resilience and growth in an era of persistent macro volatility, regulatory change, and technological transformation? JP Morgan shares insights on strategic asset allocation, risk management, and innovation across public and private markets. What lessons can be drawn from global best practice, and how can Nordic institutions leverage scale, data and partnerships to future-proof long-term returns?