2Q22 Guide to the Markets – Australia

J.P. Morgan Asset Management
JPMorgan Asset Management
JPMorgan Asset Management
The 2Q22 Guide is here! This quarter we look at the following themes:

- Robust balance sheets mitigate recession risks

- Rising prices likely to peak later and land at a higher level

- Rate hikes likely nearly everywhere except in Europe and China

- Reluctant markets means more cautious position and increased diversification



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J.P. Morgan Asset Management is committed to understanding our clients’ investment objectives and helping them build stronger portfolios.

Sharing our expertise

Supported by deep resources across regions and sectors, our global team of investment professionals take a research-driven approach to uncover opportunities and risks to help investors build stronger portfolios.

      5,000+ annual on-site company visits (1)

Empowering better decisions

Our global team of market strategists takes the complexity out of markets, helping investors interpret key information and make the right investment decisions.

      Approx. 30 market strategists across the globe (1)

Building stronger portfolios

Our investment capabilities span a huge range of asset classes and regions. This enables us to offer a suite of solutions that can help investors diversify (2) their portfolios and achieve their individual investment goals in a variety of ways.

      Approx. 550 investment strategies (1)

Tapping into proven success

With nearly 150 years of investment experience, we have accumulated invaluable insights into what drives markets and how to empower investors to meet evolving needs — across asset classes, regions and market cycles.

      Approx. 150 years of investment experience (1)

Planning for the future you want to see

We take a forward-looking investment approach to deliver long-term sustainable financial return in a fast-changing world.

      A+ in the 2020 United Nations Principles for Responsible Investment (PRI) Assessment (3)

(1) Source: J.P. Morgan Asset Management. Data as of 31.3.2021. (2) Diversification does not guarantee investment returns and does not eliminate the risk of loss. (3) Source: J.P. Morgan Asset Management. Data as of July 2020. We report annually and are audited.