New paper argues that it does - but flows aren't the main problem.
Geopolitical risks brought on by the confrontation between Ukraine and Russia are unlikely to slow global GDP growth in 2014.
A BMO Global Asset Management survey finds that 77% of Canadian investors feel that market volatility is the new normal and is here to stay for the foreseeable future.
Low-volatility stocks have outperformed the general market and that trend is expected to continue, according to a white paper.
New report says institutional investors should focus on extreme risks.
Six principles for managing credit risk in volatile times
The new multi-asset portfolios are nimble and move in real time.
Market neutral strategies work in volatile markets
Study looks at how well it gauges Canadian market volatility