Home
keyboard_arrow_down
chevron_right
Middle East conflict: navigating market uncertainty
keyboard_arrow_down
Middle East conflict: Navigating market uncertainty
Latest news & insights

 

This page brings together our latest insights, expert perspectives and practical guidance to help you understand what’s driving markets, put current events into context, and make informed long-term investment decisions.

 

We’ll continue to monitor developments and update this page regularly.

 

Latest news & insights

 

This page brings together our latest insights, expert perspectives and practical guidance to help you understand what’s driving markets, put current events into context, and make informed long-term investment decisions.

 

We’ll continue to monitor developments and update this page regularly.

 

Subscribe to Bassanese Bites

Start your week with our Chief Economist David Bassanese’s Monday morning take on macro events and market movements.

By proceeding, you confirm you’ve read our Privacy Policy and Privacy Collection Statement. We may contact you about our products or services unless you request otherwise.

Newsletter preview

What to keep in mind during market volatility

Periods of market uncertainty can be unsettling, but they are a normal part of investing.

Markets have tended to recover over time

Markets have tended to recover over time following periods of disruption

Time in the market matters

Staying invested is often key to long-term returns

Diversification helps manage risk

Diversification can help manage risk and reduce the impact of short-term market movements

Core portfolio exposures

Your core portfolio is designed to provide the long-term foundation of your investments. During periods of market volatility, a well-diversified core can help provide stability.

Thematic and sector strategies

These investments can offer targeted exposure to certain trends, but may be more sensitive to changes in market sentiment. Understanding how these exposures behave during periods of volatility can help you manage risk and position your portfolio appropriately.

 

 

Betashares Capital Limited (ABN 78 139 566 868, AFSL 341181) (“Betashares”) is the issuer of the Betashares Funds. This information is general only, is not personal financial advice, and is not a recommendation to buy units or adopt any particular strategy. It does not take into account any person’s financial objectives, situation or needs. Investments in Betashares Funds are subject to investment risk and the value of units may go down as well as up. Any person wishing to invest should obtain a copy of the relevant PDS from www.betashares.com.au and obtain financial advice in light of their individual circumstances. You may also wish to consider the relevant Target Market Determination (TMD) which sets out the class of consumers that comprise the target market for each Betashares Fund and is available at www.betashares.com.au/target-market-determinations.