A number of global issues have triggered volatility in the financial markets in Q1 2022. Concerns about inflation, rising interest rates, energy prices, global conflicts and more have all increased uncertainty about the recovery of the global economy.
In a live 45-minute webinar on May 11, 2022, UCF staff and investment team discussed market performance and investment strategies and provide updates to our sustainable and responsible investing efforts.
You can access the recording, presentation slides, poll results and a summary of the Q&A session on this page.
Click here to download the presentation.
View the recording and poll results below.