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March has seen investors navigate a historically volatile month across asset classes, spurred by the war in Iran. The Stoxx 600 index has suffered its worst month since March 2020, the Nasdaq and Dow are in correction territory, and Brent crude is set for its biggest monthly rise ever. CNBC’s Ritika Gupta is joined by Fredrik Repton, senior portfolio manager at Neuberger Berman, and Patrick Armstrong, CIO at Plurimi Group, to talk through the March madness in markets.