What matters, what has changed, and what Advisers should do next.
With 2025 now behind us, markets enter the new year in a more complex and less predictable place. Global growth is uneven, geopolitical and policy risks remain elevated, and rapid advances in AI continue to reshape both markets and portfolios.
It’s an environment that raises more questions than answers, and one where advisers are increasingly expected to separate signal from noise.
In this Pulse webinar with Chris Saunders, Co-Founder at New Horizon Asset Management, as we reflect on the year just gone and look ahead to what really matters for 2026. Together, we’ll explore the questions advisers are already asking:
- Was 2025 a steady grind, or a warning shot for what’s ahead?
- Which calls from last year’s Crystal Ball held up and which assumptions need revisiting?
- Where are the risks clients may be underestimating?
- Is the AI theme maturing, peaking, or still in its early stages?
- How should portfolios be positioned if the unexpected becomes the inevitable?
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