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Global financial markets have been sent reeling following decades-high US inflation and an increasingly hawkish interest rate hike outlook. The Ukrainian invasion by Russia has exacerbated market volatility and pushed equity markets further into correction territory. We provide some investment perspective, given the prevailing uncertainty, by looking at what stock market history has to teach us and the course of action long-term investors should adhere to in order to achieve their investment goals. Now is not the time to sell; in contrary.