“Investing Through Crisis: The Discipline of Asset Allocation and Long-term Investing” Monday, 11 May 2026 | 5:30 – 7:00 PM (Kuwait Time)

05-11-2026 5:30 PM - 05-11-2026 7:00 PM

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