United Kingdom, Intermediaries

Nanette Abuhoff Jacobson

Nanette Abuhoff Jacobson

Nanette’s views on market trends and opportunities draw on her long experience in the capital markets. She shares her insights with subadvisory clients, as well as major broker-dealers and distributors. She also consults on strategic portfolio issues with clients, including insurance companies, endowments and foundations, pension funds and central banks. Nanette is a primary contributor to Wellington Management’s thought leadership, writing the firm’s most widely read publication, our quarterly Multi-Asset Outlook, as well as white papers on a variety of asset allocation topics.

 

Read more about Nanette and her views on Wellington’s Global Investment Strategy.

Featured Insights

Multi-Asset Outlook — For markets, it’s complicated
As markets grapple with the war in Ukraine, inflation worries and a host of other issues, Nanette Abuhoff Jacobson and Daniel Cook offer their thoughts on the investment implications for equities, commodities and fixed income.
March 2022
Multi-Asset Outlook — For markets, it's complicated
Russia/Ukraine conflict: five things to watch closely
Amid the ongoing turmoil of the Russia/Ukraine crisis, Global Investment Strategist Nanette Abuhoff Jacobson highlights five key areas she thinks investors should keep a watchful eye on in the weeks ahead.
March 2022
Russia/Ukraine conflict: five things to watch closely
The latest market sell-off: Regime change in the making?
The sharp, swift equity sell-off through the first month of this year is raising some difficult questions for investors, chiefly: Are we just witnessing a long-overdue correction in some areas of the market, or perhaps something more fundamental and enduring? Global Investment Strategist Nanette Abuhoff Jacobson provides her take.
February 2022
The latest market sell-off: Regime change in the making?
Will Omicron derail the global cycle?
The short answer is probably not, but it’s a fast-moving narrative that warrants some level of concern (though not panic). Global Investment Strategist Nanette Abuhoff Jacobson relays what we know (and don’t know) at this point and weighs in on some of the potential implications.
December 2021
Will Omicron derail the global cycle?
2022 Multi-Asset Outlook
In our 2022 Multi-Asset Outlook, we expect markets to focus on central bank efforts to tame inflation without derailing the cycle, and take a look at five post-pandemic essentials for the year ahead.
November 2021
2022 Multi-Asset Outlook
The three prongs of higher inflation
Inflation is being pushed higher by three interrelated catalysts — labor, raw materials, and transportation. Global Investment Strategist Nanette Abuhoff Jacobson looks at each and how investors might position for a longer-than-expected period of higher inflation.
November 2021
The three prongs of higher inflation
Multi-Asset Outlook — For markets, it’s complicated
As markets grapple with the war in Ukraine, inflation worries and a host of other issues, Nanette Abuhoff Jacobson and Daniel Cook offer their thoughts on the investment implications for equities, commodities and fixed income.
March 2022
Multi-Asset Outlook — For markets, it's complicated
Russia/Ukraine conflict: five things to watch closely
Amid the ongoing turmoil of the Russia/Ukraine crisis, Global Investment Strategist Nanette Abuhoff Jacobson highlights five key areas she thinks investors should keep a watchful eye on in the weeks ahead.
March 2022
Russia/Ukraine conflict: five things to watch closely
The latest market sell-off: Regime change in the making?
The sharp, swift equity sell-off through the first month of this year is raising some difficult questions for investors, chiefly: Are we just witnessing a long-overdue correction in some areas of the market, or perhaps something more fundamental and enduring? Global Investment Strategist Nanette Abuhoff Jacobson provides her take.
February 2022
The latest market sell-off: Regime change in the making?
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