Mutual Fund Mid-Year Outlook – Changing Investor Preferences: BI Replay
Tariff-driven volatility in the stock and bond markets this year has resulted in changing investor fund preferences. During this webinar, BI Mutual Fund and Active Management Analyst David Cohne will explore the outlook for mutual funds for the remainder of the year, including why alternative mutual funds could be a popular choice, why bond funds could see tempered flows through the remainder of 2025 and why passive funds could continue to eat into active fund assets, despite the recent active renaissance.