It’s December. Time for the yearly “outlooks”. What will 2016 bring after a turbulent 2015? The general opinion is a little subdued. The consensus among asset managers seems to be a year of “low growth and low inflation”. We guess this is not a very bold point of view. The question is of course how the asset managers will approach this environment and how it will have an impact on their asset allocation. Where do they see opportunities and where the risks? Follow this link and you can read all about it at OpinioPro. Not a member yet? Register here, it is absolutely free.