The COVID-19 Impact on Institutional Investors

Strategies to rebalance portfolios and manage through the volatility.

In the wake of a global pandemic, institutional investors face a world where uncertainty is the only predictable outcome.

Download our latest report for timely insights into the strategies that can make a difference—today and in the long-term.

  • Key strategic considerations to mitigate short-term risk
  • The long-term implications of market volatility
  • Where portfolio analysis can add insight and discipline
  • Mistakes to avoid when it comes to rebalancing


About the Author

Sanjoy Chatterjee is the Founder of Investment Metrics and has more than 25 years of experience in the institutional investment industry. As Chief Strategy Officer, he is responsible for overall product and business strategy with a laser focus on meeting the evolving needs of investment consultants, asset owners, financial institutions, and asset and wealth managers.

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