Entering the second half of the year, Lazard Asset Management’s Chief Market Strategist, Ronald Temple, explores how resilient markets may face new pressures as U.S. policy uncertainty persists heading into 2026. The report highlights the economic effects of U.S. trade and immigration reform, the need for structural reform in China, and signs of recovery in Europe and Japan.
Lazard Asset Management serves as the Portfolio Manager of the Caldwell-Lazard CorePlus Infrastructure Fund.
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