“Investing Through Crisis: The Discipline of Asset Allocation and Long-term Investing” Monday, 11 May 2026 | 5:30 – 7:00 PM (Kuwait Time)
The session will explore the principles of disciplined investing through periods of market stress, covering strategic asset allocation, the outlook for key asset classes, and practical recommendations for long-term investors. Asset Allocation & the Role of Asset Classes Why a strategic allocation framework matters more than ever in volatile markets, and how periods of stress create tactical opportunities within a disciplined structure. Market Outlook: Equities, Fixed Income & Real Estate The long-term case for equities as a portfolio anchor, the role of credit and fixed income in a higher-rate environment, and where value is emerging across real estate markets. Panel: Practical Recommendations for Investors What steps investors should take today, avoiding common mistakes such as panic selling, and why diversification remains the only free lunch in investing. Audience Q&A Registration is required.
[Registration link 👇🏻 👇🏻]:
https://us05web.zoom.us/meeting/register/5wJwjtbaSM6cEhdFIrD9Ig
